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The Aggressive Conservative Investor

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( 550 ratings, 16 reviews)
Book Hero Magic crafted this summary to help describe this book. While it's new and still learning, it may not be perfect - your feedback is welcome! Summary
The Aggressive Conservative Investor by Martin J. Whitman and Martin Shubik explores investment strategies that balance aggressive opportunity-seeking with conservative risk management. The authors blend theory and practice, guiding investors on selecting undervalued securities and emphasising a value-driven, fundamental analysis approach. This book is designed for those aiming to become more informed and cautious investors while actively engaging in the stock market.
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Format: Paperback / softback
$5299
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Book Hero Magic created this recommendation. While it's new and still learning, it may not be perfect - your feedback is welcome! IS THIS YOUR NEXT READ?

You might enjoy this book if you are interested in exploring an investment strategy that blends traditional value investing with a rigorous examination of financial statements to identify undervalued opportunities. It may appeal to those looking for a detailed, analytical approach to investing, focusing on long-term capital appreciation while maintaining a conservative mindset.

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"The Aggressive Conservative Investor will never go out of date. Regulation, disclosure, and other things may change, but the general approach and mindset to successful investing are timeless. Read this book and you will learn the rudiments of 'safe and cheap' investing. An essential read for every amateur and professional investor.

Book Hero Magic formatted this description to make it easier to read. While it's new and still learning, it may not be perfect - your feedback is welcome! Description

The Aggressive Conservative Investor will never go out of date. Regulation, disclosure, and other things may change, but the general approach and mindset to successful investing are timeless. Read this book and you will learn the rudiments of 'safe and cheap' investing. An essential read for every amateur and professional investor.

--Stan Garstka, Deputy Dean & Professor in the Practice of Faculty & Management, Yale School of Management

"Security analysis toward both better odds and higher long-term payoff: A readable, authoritative guide."

--Professor Bill Baumol, New York University

"In reading this book, one is struck by the simplicity of the ideas and the dependence of the investor on his own understandings of reality as opposed to the myths on the street. The updated version of this 1979 classic incorporates all the modern financial engineering that has occurred as a product of the late 20th century, and the new methodologies refine your abilities to measure risk but don't change the fundamentals of value. The updated version of The Aggressive Conservative Investor is very much a value-added proposition."

--Sam Zell, Chairman, Equity Group Investment LLC

"I concur with those people who regard Marty Whitman as the 'Dean of Value Investing.' This book is a must-read for everyone interested in understanding the art of investing."

--Melvin T. Stith, Dean, Whitman School of Management, Syracuse University

This no-holds-barred presentation of one of the most successful investment strategies of all time β€” value investing in distressed securities/companies β€” shows you how to analyse and evaluate stocks just like controlling owners. Based on the assumption that stock price rarely reflects real value, authors Whitman and Shubik use numerous case studies to present risk-minimising methods that also provide high rewards. Still relevant today, this classic work includes a new introduction discussing the dramatic changes that have taken place in the value investing world since its first publication in 1979.

Series: Wiley Investment Classics

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    The Aggressive Conservative Investor will never go out of date. Regulation, disclosure, and other things may change, but the general approach and mindset to successful investing are timeless. Read this book and you will learn the rudiments of 'safe and cheap' investing. An essential read for every amateur and professional investor. --Stan Garstka, Deputy Dean & Professor in the Practice...
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Book Details

INFORMATION

ISBN: 9780471768050

Publisher: John Wiley & Sons Inc

Format: Paperback / softback

Date Published: 15 November 2005

Country: United States

Imprint: John Wiley & Sons Inc

Contributors:

  • Foreword by Gene Isenberg

Audience: Professional and scholarly

DIMENSIONS

Spine width: 28.0mm

Width: 140.0mm

Height: 211.0mm

Weight: 499g

Pages: 480

About the Author

MARTIN J. WHITMAN is Chairman and co-CIO of Third Avenue Management LLC. Mr. Whitman has taught courses in value investing and distressed investing for the past thirty years at Yale University's School of Management. He has also taught classes at Syracuse University's Whitman School of Management, which is named in his honor.

MARTIN SHUBIK, PHD, is the Seymour H. Knox Professor of Mathematical Institutional Economics at Yale University.

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