The New House of Money provides exclusive insight into profiting post–crisis. Written by the bestselling author of Inside the House of Money, this updated edition presents the new Real Money 4.0 model in full detail to give you a guidebook for portfolio management. Interviews with top managers divulge the forward–thinking strategies that enable success in the new profit paradigm, and provide practical guidance to help you begin thinking clearly, managing risk, and seeking out new opportunities. With a focus on a global macro approach, this book picks up where Hedge Funds Off the Record and Inside the House of Money left off to give you targeted insight into the emerging strategies and mechanisms of the post–crisis financial world. You′ll discover the portfolio adjustments and behavior modifications that can have a tremendous impact, and develop a new way of thinking about and acting on your investment strategy.
In the wake of the 2008 financial crisis, many are still struggling to find a new investment model that will rebuild assets and meet liabilities. This book provides the solution, in the form of a real, actionable strategy built specifically for the current economic climate.
- Go inside the unique investment style of top managers
- Utilize your global macro hedge funds as more than just investment allocations
- Ride the information flow that leads to investible ideas
- Use managers as a weather vane to help you run the rest of your portfolio
Despite the recovery in equity and credit markets, most real money funds have not recovered to their pre–2008 highs even as their liability situations continue to deteriorate. Step into the new financial reality and adopt a more successful global macro approach with the top–performing insight of The New House of Money.