Dual Momentum Investing
Book description
The strategy that consistently gets high returns with low risk--because it knows when to adapt
After examining more than two hundred years of data across dozens of markets and asset classes, the conclusion is clear: Momentum continually outperforms. However, most mainstream investors haven't had a way to fully discover and…
- Coming soon!
Why read it?
1 author picked Dual Momentum Investing as one of their favorite books. Why do they recommend it?
I first encountered Gary Antonacci’s strategy in his paper “Risk Premia Harvesting Through Dual Momentum,” in which he called momentum “the premier market anomaly.” He found that combining absolute and relative momentum delivered optimal results. In this book, he shows how to boost performance with monthly switching among three asset classes in the following decision tree: Did the S&P 500 beat US bonds over the past 12 months? If no, own US bonds. If yes, did the S&P 500 beat global stocks over the past 12 months? If no, own global stocks. If yes, own the S&P 500. Just three…
From Jason's list on to learn systematic stock market investing.
Want books like Dual Momentum Investing?
Our community of 12,000+ authors has personally recommended 100 books like Dual Momentum Investing.