Be a Dividend Millionaire
Addison Wesley (Verlag)
978-0-13-430241-6 (ISBN)
Rubillo explains why dividend stock investing is the only long-term strategy that actually works, and offers a comprehensive plan for achieving real financial stability. You’ll discover:
· What to do now, before you invest in anything
· Why asset managers and financial planners won’t help you pick the right dividend stock
· Why cash-rich companies aren’t always a good investment
· How compounding returns can make you a Dividend Millionaire
· Why dividend dates matter, and how to use them
· How to find safe dividend yields, and avoid “dividend traps”
· How to save money by periodically auditing your brokerage account
· When to sell, and how to use stop-loss orders to protect your profits
Paul Rubillo is the Founder and CEO of Dividend.com, the #1 source for long-term investors. Paul’s daily content is featured on such major finance portals as TheStreet.com, RealMoney.com, Forbes.com, AOL Money & Finance, and NASDAQ.com. Paul was also formerly the exclusive author of the NASDAQ.com daily e-newsletter “NASDAQ Stocks to Watch.” Paul is well-known for breaking down key stocks, themes, and trends in an easy-to-digest style, encouraging investors to understand and take advantage of short-term gyrations while focusing on longterm investment goals. Paul motivates readers to take action within their financial lives today so that they can stay ahead of any impending movements in the market tomorrow. Prior to launching Dividend.com, Paul was a highly successful stock trader who managed his own capital for more than 13 years of full-time market experience.
Preface xiii
Introduction 1
Chapter 1: Lessons to Learn from the Recent Economic Downturn 5
Chapter 2: Paul’s Ten Step Plan to Financial Stability 13
Chapter 3: What to Know Before You Invest 37
Chapter 4: Investing Rules to Live By 47
Chapter 5: How to Find Winners and Avoid Losers 57
Chapter 6: Selling Is a Virtue 75
Chapter 7: Dividend Stock Investing: The Only Long-Term Strategy That Works 91
Chapter 8: Trading Techniques and Pitfalls That All Investors Should Know 113
Conclusion 133
Erscheinungsdatum | 10.02.2016 |
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Verlagsort | Boston |
Sprache | englisch |
Maße | 100 x 100 mm |
Gewicht | 100 g |
Themenwelt | Wirtschaft ► Betriebswirtschaft / Management ► Finanzierung |
ISBN-10 | 0-13-430241-9 / 0134302419 |
ISBN-13 | 978-0-13-430241-6 / 9780134302416 |
Zustand | Neuware |
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