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In this week’s episode we discuss:-Why every investor has a favourite model for achieving superior returns-Characteristics of the different ways to invest: fundamental, technical, or quant-Why simple models outperform the complex-Correlation and complexity: why it’s so hard to weight variables to stock market returns-Investing over different timeframes-Which model is best for you and your personality types-The greatest investors and their commonalitiesThanks for listening!Download a free chapter from our book ’Low Rates, High Returns’https://www.lowrateshighreturns.com/podcastPete Wargenthttps://www.petewargent.com/https://www.linkedin.com/in/pete-wargent-37228322/Stephen Moriartyhttps://twitter.com/SGM63


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