Master Investor Show, 25th April 2015
Master Investor Show 2015 – who was there, and was it worth the trip?
Master Investor Show 2015 – who was there, and was it worth the trip?
Weekly Roundup for the UK Private Investor: China and Japan, inequality, active vs passive, flash crash, junk bonds and Grexit
We report from the UK Investor Show 2015, held in Westminster this weekend.
Weekly Roundup for the UK Private Investor: election and the markets, takeover boom, shale oil proves resilient, wine investing and P2P in SIPPs.
Weekly Roundup for the UK Private Investor: pensions vs earnings, VCT demand, property turnover, slow growth, US crowdfunding and income redistribution.
We look at a recent report from the insurance industry which uses straw men and dubious assumptions to push the idea that annuities are still a good thing.
SmallCap Growth Portfolio – we look at the progress to date and review the Interactive Investors ISA-season suggestions for candidates.
We take a look at the new pension freedoms, and the implications for long-term private investors.
Piggyback Portfolio – no 9 in a series where we screen public portfolios for stock ideas. We look at the M0by Dicks’s Family Firms Folio and results so far.
Michael Platt – The Art and Science of Risk Control
Becoming a Lloyd’s Name
UK budget breakdown – income and spending
Mark Minervini 1 – Specific Entry Point Analysis (SEPA®)
Stan Weinstein’s Stage System 1 – Charts and Buying
John Bender – Question Everything
Freakonomics – A Summary
Freakonomics 4 – Names
Leverage for the Long Run
Investment Trust Portfolio 2 – Money Week
More
There are three ingredients in the good life: learning, earning and yearning.

