Dual Momentum Investing: An Innovative Strategy for Higher Returns with Lower Risk
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Dual Momentum Investing: An Innovative Strategy for Higher Returns with Lower Risk

by Gary Antonacci

Business Finance
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Dual Momentum Investing presents an innovative strategy for higher returns with lower risk. By leveraging dual momentum across asset classes, investors can systematically enhance portfolio performance. Gary Antonacci details the principles, historical evidence, and practical application of this approach to achieve consistent results in diverse market environments.

About This Book

Dual Momentum Investing introduces a strategy designed to achieve superior returns with reduced risk. It combines elements of relative and absolute momentum to guide investment decisions across asset classes.

The book outlines how this method can be applied to stocks, bonds, and other investments, providing a framework for investors seeking consistent performance.

Author Gary Antonacci explains the underlying principles and practical implementation, drawing on historical data to support the strategy's effectiveness.

Readers gain insights into managing portfolios with a focus on momentum signals, making it suitable for both novice and experienced investors.

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I will be using this book for: