Experience exceeds knowledge from books. This is something proven by “Dual Momentum Investing: An Innovative Strategy for Higher Returns with Lower Risk” author, Mr. Gary Antonacci. In the book, Mr. Antonacci details his own experience in investing through momentum. As he discusses at length, Momentum Investing combines U.S. stock with non-U.S. stock along with aggregate bond indices. These are thrown in the mix for a dramatic increase in profit whilst risks are lowered.
Antonacci makes its readers privy to the fact that momentum investors were already inclined to long-run returns that are as high or double with that of the stock market within the span of 40 years. On top of that bear, market losses are kept at bay.
The author had done well by providing information and insight pertinent to success. His method’s credibility is strengthened through good and honest academic research.
Readers agree that the numbers that they had come up with, after employing Antonacci’s methodology had been impressive; Anotacci’s analysis of market behavior for momentum investment is practical and makes perfect sense.
About the Author
With over 30 years’ worth of experience under his belt, Mr. Gary Antonacci has been specializing in investments. He founded a consultancy focused on investment portfolio management aptly called Portfolio Management Consultants. The firm advises private entities on asset allocation, portfolio optimization, and strategies on advancing momentum investments.