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《Risk & Reward》封面

Risk & Reward

How to handle market volatility and build long-term wealth

Ben Carlson

Ben Carlson examines market volatility, inflation, crashes, diversification, and the habits that support long-term investing.

出版社
Harriman House, an imprint of Pan Macmillan
出版年份
2026
阅读章节
21
ISBN
978-1-80409-327-6
阅读进度

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目录

21 个连续阅读页面

  1. IntroductionIntroduction
Chapters

Risk and Reward

Chapters 1–18

  1. Chapter 1It Was the Worst of Times
  2. Chapter 2Doing Nothing Is Hard Work
  3. Chapter 3The Great Inflation
  4. Chapter 4The Three Best Inflation Hedges
  5. Chapter 5Timing the Market
  6. Chapter 6The Most Important Concept in Investing
  7. Chapter 7The Worst Crash of All Time
  8. Chapter 8Normal Accidents in the Stock Market
  9. Chapter 9The Two Types of Bear Markets
  10. Chapter 10The Stock Market vs. the Economy
  11. Chapter 11Day Trading
  12. Chapter 12Volatility Is a Feature, Not a Bug
  13. Chapter 13The Death of Equities
  14. Chapter 14The First Rule of Compounding
  15. Chapter 15The Biggest Bubble Ever
  16. Chapter 16Now Show Japan
  17. Chapter 17The Lost Decades
  18. Chapter 18The Perfect Portfolio
  1. ConclusionYou Need to Invest
  1. Epilogue20 Things I Believe About Investing
书前页、注释与其他资料
Front MatterDedicationReferenceFootnotesReferenceEndnotesBack MatterAbout the AuthorBack MatterCopyright