Synopsis Expert financial analyst Charles Goyette lays out a comprehensive and specific plan for investors who are hoping to avoid a repeat of the stock market slide of 2008-2009, which decimated so many financial portfolios. Goyette provides a detailed analysis of the factors which led to the crash, and then identifies several signs, particularly the rapid accumulation of national debt, which indicate that America is entering a prolonged period of high inflation and dollar devaluation. He then outlines a number of alternative investment strategies which focus on commodities such as gold and silver, which have been proven over time to increase in value during similar recessions.
| Details | | Publication Date: | 2009-10-29 |
| Size | | Length: | 248 pages | | Height: | 9.8 in | | Width: | 6.8 in | | Thickness: | 1.0 in | | Weight: | 15.2 oz |
Publisher's Note Predicting a forthcoming economic crisis involving high inflation and dollar devaluation in America, a cautionary report offers recommendations for profiting and safeguarding personal interests by drawing on historical examples and investing in alternate sources.
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