Stock Market Crash Strategy for Max Returns and Low Risk
Автор: Value Investing with Sven Carlin, Ph.D.
Загружено: 2019-05-24
Просмотров: 21299
Описание:
A stock market crash, recession, economic collapse or currency collapse is always imminent. However, the questions is how to invest to maximise the returns and limit risks. Here is my full portfolio strategy focused on value investing.
0:00 STOCK MARKET CRASH STRATEGY
0:58 Don’t listen to others - Contrarian
2:29 My Portfolios
3:39 Lump sum portfolio strategy
5:17 Crash strategy based on earnings
6:40 Focus on the business
7:26 Portfolio valuation
3 KEY FACTORS TO FOCUS ON
9:00 Margin of safety
9:41 Focus on the business
10:22 Crash strategy example
12:41 Dividends and takeovers
13:56 The power of monthly investments
16:48 STOCK MARKET CRASH SCENARIOS
17:06 Markets are not linear
18:28 Stocks always crash
18:57 Recession and crash forecasts
21:16 Inflationary crash - currency collapse
Want to know more about what I do?
Full-time independent stock market analyst and researcher!
STOCK MARKET RESEARCH PLATFORM (analysis, stocks to buy, model portfolio)
https://sven-carlin-research-platform...
Inexpensive monthly stock idea and analysis:
https://sven-carlin-research-platform...
I am also a book author:
Modern Value Investing book:
https://amzn.to/2lvfH3t
Subscribe to my newsletter for a weekly content overview and articles with stock analyses: https://svencarlin.com
Listen to Modern Value Investing Podcast:
https://svencarlin.com/podcasts/
I am also learning a lot by interning with my mentors: dr. Per Jenster and Peter Barklin at the Niche Masters fund.
http://nichemastersfund.com
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