Dual Momentum Investing: An Innovative Strategy for Higher Returns with Lower Risk by Gary Antonacci - front cover

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

by Gary Antonacci

"Dual Momentum Investing" by Gary Antonacci, McGraw-Hill Education, 2015. Hardcover in good condition, ISBN 978-0-07-184944-9. This edition explores innovative investment strategies for maximizing returns with reduced risk. No dust jacket, minimal wear. Ideal for finance enthusiasts seeking a unique approach to investing.

$29.49$$
Binding:Hardcover
Condition:Good
2015
McGraw-Hill Education
ISBN:9780071849449
Stock:1 available
SKU:A17-B1-CIZ-0492

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Condition Details

The book is in good condition with a sturdy hardcover binding. The pages are clean, and there are no inscriptions or library markings. The spine and cover show minimal wear. No dust jacket is present, but the book remains intact and well-preserved.

About This 2015 Edition

"Dual Momentum Investing: An Innovative Strategy for Higher Returns with Lower Risk" by Gary Antonacci, published by McGraw-Hill Education in 2015, is a significant contribution to investment literature. This hardcover edition was printed in New York and features the innovative dual momentum strategy that has gained attention for its potential to enhance returns while managing risk. Gary Antonacci, a respected figure in the finance world, presents a comprehensive approach that appeals to both novice and experienced investors. The book focuses on momentum-based strategies, offering insights into effective investment practices. This specific edition is identifiable by its ISBN 978-0-07-184944-9. The book is in good condition, with no visible markings or inscriptions, and lacks a dust jacket. Its scarcity in hardcover makes it a valuable addition to any finance enthusiast's collection.

Publisher Information

Publisher

McGraw-Hill Education

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