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by Lars Kroijer
Investing Demystified
Cover
Title Page
Contents
Acknowledgements
About the author
Foreword
part 1 Introduction
1 Introduction to markets and portfolios
2 What is an edge over the markets and do you have it?
3 What are the key components of the rational portfolio?
part 2 The rational portfolio
4 The minimal risk asset – safe, low-risk returns
5 World equities – increased risk and return
6 The risk of equity markets
7 Adding other government and corporate bonds
8 Incorporating other assets
9 What is omitted from your rational portfolio and why
part 3 Tailoring and implementing the rational portfolio
10 Financial plans and the risks we take
11 Tax
12 Liquidity
13 Expenses
14 Products and implementation
part 4 Other things to think about
15 Pension and insurance
16 Apocalypse investing
17 A wish list aimed at the financial sector
18 Conclusion
Index
Imprint
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