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Active Value Investing – Making Money in Range–Bound Markets
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Active Value Investing – Making Money in Range–Bound Markets Hardcover - 2007

by Katsenelson, Vitaliy

  • New
  • Hardcover

Description

John Wiley & Sons Inc, 2007. Hardcover. New. illustrated edition. 304 pages. 9.25x6.25x1.00 inches.
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Details

  • Title Active Value Investing – Making Money in Range–Bound Markets
  • Author Katsenelson, Vitaliy
  • Binding Hardcover
  • Edition First edition
  • Condition New
  • Pages 304
  • Volumes 1
  • Language ENG
  • Publisher John Wiley & Sons Inc, Somerset, New Jersey, U.S.A.
  • Date 2007
  • Features Bibliography, Dust Cover, Index, Price on Product - Canadian, Table of Contents
  • Bookseller's Inventory # x-0470053151
  • ISBN 9780470053157 / 0470053151
  • Weight 1.08 lbs (0.49 kg)
  • Dimensions 9 x 6.4 x 1.05 in (22.86 x 16.26 x 2.67 cm)
  • Library of Congress subjects Investments, Speculation
  • Library of Congress Catalog Number 2007013701
  • Dewey Decimal Code 332.6

From the publisher

Includes bibliographical references.

From the jacket flap

For the next dozen years or so, the U.S. stock market will be a wild roller-coaster ride--setting all-time highs and multi-year lows in the process. While the twists and turns of this ride are still to be written by history, the long-term, sideways "range-bound" trajectory has already been set by the eighteen-year bull market that ended in 2000. When the dust settles, only those who adapted their investment strategies to this range-bound market will have captured any meaningful profits.

Nobody understands this situation better than author, educator, and respected investment manager Vitaliy Katsenelson. And now, with Active Value Investing, he'll reveal how to achieve unparalleled success in these conditions by taking traditionally profitable and fundamentally driven strategies--developed during the eighteen-year bull market--and modifying them for use in range-bound markets.

This is not just another value investing book. It is a practical guide that contains innovative insights and timely techniques that will improve your investment endeavors during a time when others will be paying with their returns, and with lost time, for the valuation excesses of prior bull markets.

In the first part of the book, Katsenelson examines the historical performance of U.S. markets over the past two centuries and discusses what has caused prolonged bull, bear, and range-bound markets. He then looks at the emotions that have dominated each of these markets, why there is a high probability that a range-bound market has descended on us, and what you can do to forecast how long this market will last.

Part Two of Active Value Investing addresses practical application of this concept. Here you'll become familiar with performing proper stock analysis--from identifying what constitutes a good company to determining the stock price at which these companies become worth owning--and implementing an active investing strategy during range- bound markets. You'll also be introduced to the Quality, Valuation, and Growth (QVG) framework, which lies at the core of this approach. Rounding out this section are detailed discussions of the buy/sell process as well as complete coverage of important risk and diversification issues.

Range-bound markets may be difficult to invest in, but with Active Value Investing as your guide, you'll quickly learn how to squeeze real profits out of a difficult market full of exhilarating highs and surprising lows.

About the author

VITALIY N. KATSENELSON, CFA, has been involved with the investment industry since 1994. He is a portfolio manager with Investment Management Associates, where he comanages institutional and personal assets utilizing fundamental analysis. He is also an adjunct faculty member at the University of Colorado at Denver, Graduate School of Business. Katsenelson is a regular contributor to the Financial Times, MarketWatch from Dow Jones, and Minyanville.com. He is a CFA charter holder, member of CFA Institute, has served on the boards of the CFA Society of Colorado, and is currently on the board of the Retirement Investment Institute. Katsenelson received both his bachelor of science and his master of science in finance from the University of Colorado at Denver, where he graduated cum laude. To read articles Katsenelson has written over the years, please visit:

ContrarianEdge.com or ActiveValueInvesting.com