Summary |
This book delivers a cogent and compelling mixture of economics, finance, policy, and risk management that illuminates the financial crisis in revealingly original ways. It is an unprecedented, expert account crisis and describes what investing will be like in the future. To prepare readers for the major changes ahead, author analyzes the three most likely outcomes for the modern globalized economy, including stable inflation, volatile inflation, and deflation. Additionally, this book provides new investing strategies and tools to help you build a portfolio of assets in these very different circumstances.
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