ISBN-13: 9781517186326 / Angielski / Miękka / 2015 / 108 str.
The United States stock market began a bull market in 2009 that was powered by low interest rates and quantitative easing programs created by the Federal Reserve. In 2012 that bull market accelerated into a stairway to heaven forty-five degree angle rally that came to an end in 2014.
By the start of 2015 the stock market had reached a crazy valuation level not seen but a few times in its entire history.
By the summer of 2015 the stock market actually completed a top and on August 20, 2015 began a violent bear market when the DOW plunged. This book will show you what you need to know in order to adapt and to adjust to this new investment environment.
This book will show you:
1) The evidence that the stock market is actually in a real bear market and why those that keep saying that every drop is a buying opportunity are wrong.
2) Ways to manage your money in order to diversify properly in the financial markets to reduce your risk and maximize your potential returns going forward.
3) Ways you can bet against the stock market to make money.
4) A method to use so you know what sectors and asset classes will break away from the overall bear trend in the financial markets to provide tremendous profit opportunities for those that invest in them.
This book reveals the fundamental factors that are driving the bear market and ways to navigate the market not just now, but in the years to come.