The sector strategist : using new asset allocation techniques to reduce risk and improve investment returns

Author(s)

    • McIntosh, Timothy J.

Bibliographic Information

The sector strategist : using new asset allocation techniques to reduce risk and improve investment returns

Timothy J. McIntosh

(Wiley finance series)

John Wiley & Sons, c2012

  • : cloth

Available at  / 1 libraries

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Note

Includes bibliographical references and index

Description and Table of Contents

Description

Using Asset Allocation to Reduce Risk and Boost Investing Returns Presenting a revolutionary new investment philosophy that redefines how we view sector investing, The Sector Strategist challenges long held ideas about how this unique area of finance operates. Misconceptions, such as the belief that international stocks provide diversification, are preventing investors from making the most of the opportunities for financial growth that sectors provide, and the book presents practical, applicable evidence that a better, more profitable option is available. Additionally, the book hopes to give readers an opportunity to improve returns and protect retirement assets by providing a wide range of techniques and tools designed to optimize wealth that the author has developed over the last decade. Designed to help investors avoid the often inaccurate assumptions made by "experts" which promote typical asset allocation Written by Timothy McIntosh, investment expert and founder of SIPCO/Strategic Investment Partners, whose firm's stock portfolio has earned five-star returns from Morningstar annually since 2003 Contains easy-to-apply tools for wealth protection and growth that have been proven successful during the market fluctuations of 2002 and 2008 The history and opportunities afforded by sectors have been written about at length, but no book has broken with tradition so radically, and with such success, as The Sector Strategist.

Table of Contents

Introduction 1 CHAPTER 1 The Return Dilemma 5 CHAPTER 2 Sector Allocations 29 CHAPTER 3 The Health Care Sector 51 CHAPTER 4 The Energy Sector 73 CHAPTER 5 The Consumer Staples Sector 89 CHAPTER 6 The Technology Sector 107 CHAPTER 7 The Financial Sector 125 CHAPTER 8 Bonds, REITs, and Commodities 145 CHAPTER 9 Fundamental Analysis 163 CHAPTER 10 The Selection Process 185 CHAPTER 11 The Right Allocation 197 Endnotes 209 About the Author 213 Index 215

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