Safe Haven: Investing for Financial Storms Description
Safe Haven: Investing for Financial Storms shows you the roles of the safe haven in an investment portfolio. Do we merely utilize them to take refuge while financial storms pass? Or do they represent more? Can higher returns derive from lesser risk, in spite of what we know from the current financial theory?
Mark Spitznagel, a hedge fund manager and one of the world’s top experts on safe haven investment and portfolio risk reduction, answers these and other concerns in his book Safe Haven. Investors who take the advice in this book to heart will never again view risk minimization in the same light.
Here’s what you will learn in this course:
Foreword by Nassim Nicholas Taleb
Part 1: What Comes First
- Chapter 1: At War with Luck
- Chapter 2: Nature’s Admonition
- Chapter 3: The Eternal Return
Part 2: What Comes After
- Chapter 4: A Taxonomy
- Chapter 5: Holism
- Chapter 6: Bold Conjectures
Afterword: Amor Fati
Acknowledgments
Index