Bogle on Mutual Funds: New Perspectives for the Intelligent Investor
Books / Paperback
Books › Business & Economics › Personal Finance › Investing
ISBN: 0440506824 / Publisher: Dell, October 1994
The CEO of a billion-dollar mutual fund company shows investors how to avoid common pitfalls in investing in mutual funds, increase their return without increasing their risk, develop a fully diversified portfolio, and more. Original.
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John C. Bogle, founder of the Vanguard Group of Investment Companies, has built a $100 billion mutual fund company on principles of candor, fairness, and low cost. The most outspoken critic of the mutual fund industry, Bogle speaks to the serious mutual fund investor, both novice and seasoned, in this straightforward assessment of an industry Bogle himself helped revolutionize. Here he offers the essential principles of canny mutual fund investing, as well as caveats to protect the investor. Readers will learn how to: Ask three critical questions before investing. Evaluate risk tolerance and design a portfolio to meet current financial objectives. Develop a diversified portfolio of equity funds, bonds, and money market funds that will weather the market's short term variations. Apply Bogle's eight model portfolios to achieve their own financial goals. Always find themselves in a winning money market fund. Protect themselves from inflation Use index funds to effectively balance risk/return. Anyone who is serious about mutual funds can apply the dynamic investment principles of Bogle On Mutual Funds to establish a winning, long-term investment portfolio.
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