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OverviewThe world's eight greatest stock investors each built a method that consistently beats the market. This book decodes all of them and shows you how to use them. Most individual investors are picking stocks without a framework. They buy when something feels right, hold because selling feels like admitting a mistake, and never ask the question that separates the masters from everyone else: what is this business actually worth? Graham knew. Buffett knew. Munger, Lynch, Li Lu, Druckenmiller, Ackman, and Dalio each knew it in their own way. They disagreed on much. But on the fundamentals, they converged: buy below intrinsic value, think like an owner, hold with conviction, and sell only when the thesis breaks. That convergence is not a coincidence. It is the structure of superior long-term investing. Beat the Market decodes what each master actually does, not what they claim to believe, but the specific screening criteria, valuation methods, and exit disciplines they apply to every decision. Then it synthesizes the intersection: the universal method you can apply to any listed stock, using publicly available data, starting today. Inside this book: The operational methods of all eight masters decoded and compared: Graham, Buffett, Munger, Lynch, Li Lu, Druckenmiller, Ackman, and Dalio Three valuation methods (DCF, comparable multiples, Owner Earnings) explained in plain English with real company examples from public filings A portfolio construction framework: how many positions to hold, how to size each one, and what limits prevent catastrophic concentration loss The sell discipline: five principled exit triggers and three situations that should never cause a sale, a subject virtually every investing book ignores entirely A complete data toolkit covering professional-grade free resources (SEC EDGAR, 13F filings, insider transactions) and the three paid tools worth the annual cost This is not a book for passive investors content with index funds. It is for individual stock pickers who are done guessing and ready to apply a coherent, repeatable framework built from the convergence of the eight greatest investors who ever practiced it. Pick up your copy and start applying the Convergence Method to your portfolio today. Full Product DetailsAuthor: Jordan ColePublisher: Independently Published Imprint: Independently Published Dimensions: Width: 14.00cm , Height: 1.10cm , Length: 21.60cm Weight: 0.245kg ISBN: 9798196942730Pages: 208 Publication Date: 14 May 2026 Audience: General/trade , General Format: Paperback Publisher's Status: Active Availability: Available To Order We have confirmation that this item is in stock with the supplier. It will be ordered in for you and dispatched immediately. Table of ContentsReviewsAuthor InformationTab Content 6Author Website:Countries AvailableAll regions |
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