The Permanent Portfolio :Harry Browne's Long-Term Investment Strategy

Publication subTitle :Harry Browne's Long-Term Investment Strategy

Author: Craig Rowland  

Publisher: John Wiley & Sons Inc‎

Publication year: 2012

E-ISBN: 9781118333778

P-ISBN(Hardback):  9781118288252

Subject: F830.59 Investment

Language: ENG

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Description

An up close look at an investment strategy that can handle today's uncertain financial environment

Market uncertainty cannot be eliminated. So rather than attempt to do away with it, why not embrace it? That is what this book is designed to do. The Permanent Portfolio takes you through Harry Browne's Permanent Portfolio approach—which can weather a wide range of economic conditions from inflation and deflation to recession—and reveals how it can help investors protect and grow their money.

Written by Craig Rowland and Mike Lawson, this reliable resource demonstrates everything from a straightforward four-asset Exchange Traded Fund (ETF) version of the strategy all the way up to a sophisticated approach using Swiss bank storage of selected assets for geographic and political diversification. In all cases, the authors provide step-by-step guidance based upon personal experience.

  • This timeless strategy is supported by more than three decades of empirical evidence
  • The authors skillfully explain how to incorporate the ideas of the Permanent Portfolio into your financial endeavors in order to maintain, protect, and grow your money
  • Includes select updates of Harry Browne's Permanent Portfolio approach, which reflect our changing times

The Permanent Portfolio is an essential guide for investors who are serious about building a better portfolio.

Chapter

Contents

pp.:  1 – 7

Foreword

pp.:  7 – 13

Preface: Life Is Uncertain

pp.:  13 – 17

Acknowledgments

pp.:  17 – 21

CHAPTER 4: Simple, Safe, and Stable

pp.:  37 – 55

CHAPTER 5: Investing Based on Economic Conditions

pp.:  55 – 69

CHAPTER 6: Stocks

pp.:  69 – 87

CHAPTER 7: Bonds

pp.:  87 – 109

CHAPTER 8: Cash

pp.:  109 – 139

CHAPTER 9: Gold

pp.:  139 – 165

CHAPTER 10: Implementing the Permanent Portfolio

pp.:  165 – 197

CHAPTER 11: Portfolio Rebalancing and Maintenance

pp.:  197 – 217

CHAPTER 12: Implementing the Permanent Portfolio Internationally

pp.:  217 – 231

CHAPTER 13: Taxes and Investing

pp.:  231 – 251

CHAPTER 14: Institutional Diversification

pp.:  251 – 269

CHAPTER 15: Geographic Diversification

pp.:  269 – 279

CHAPTER 16: The Variable Portfolio

pp.:  279 – 317

CHAPTER 17: Permanent Portfolio Funds

pp.:  317 – 325

CHAPTER 18: Conclusion

pp.:  325 – 333

Recommended Resources

pp.:  333 – 335

About the Authors

pp.:  335 – 339

Index

pp.:  339 – 341

LastPages

pp.:  341 – 353

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