Yearly Archive: 2020
Bessembinder 2 – Global Stocks
Today’s post is a return to the work of Hendrik Bessembinder on stock returns.
Unconstrained Portfolio 2 – September 2020
Today’s post is our second look at the Unconstrained Portfolio formed in response to the Covid-19 crash of March 2020 by combining the SmallCap AIM portfolio with the PiggyBack Main Market portfolio.
Rich Dad Poor Dad 1 – Assets and Liabilities
Today’s post is our first visit to a new book (new to us at least) – Rich Dad Poor Dad.
Lazy Portfolios 3 – One Fund from Vanguard
Today’s post is the second in a series of posts about of Lazy Portfolios. We’ll be putting together a benchmark to which we can compare such portfolios.
Weekly Roundup, 28th September 2020
We begin today’s Weekly Roundup with a look at the impact of demographics on the prospects for stocks.
Stock Screeners September 2020
Today’s post is the regular monthly update on the outputs produced by our stock screeners.
Predictably Irrational 4 – Dishonesty, Cash and Influence
Today’s post is our fourth visit to the book Predictably Irrational by Dan Ariely.
Market Timing 3 – Unemployment and the Taylor Rule
Today’s post is the third in a series about Market Timing. We’ll be looking at the Unemployment Rate and the Taylor Rule.
Weekly Roundup, 21st September 2020
We begin today’s Weekly Roundup in the FT with Merryn Somerset Webb, who was talking about tax rises.
September 2020 – Trades, Tips and Funds
Today’s post is another in the series of monthly roundups of the interesting investing tips I’ve come across, plus a summary of any trades that I make. Welcome to September 2020.