Dr. Vinh Q. Tran has spent more than 20 years as a money manager for global financial institutions including Morgan Stanley, Bank of America, and Aetna Life & Casualty, where he managed global investments, hedged equities and alternative investments, and advised wealthy individual and institutional investors. Throughout his career, Dr. Tran has earned high acclaim for his investment performance from Fortune, The New York Times, Morningstar, and others.
Dr. Tran has taught advanced investment as adjunct professor of Finance at NYU’s Stern School of Business. He holds a Ph.D. and MBA in Finance from George Washington University, and graduated magna cum laude in both Accounting and Political Science from the University of Dalat, Vietnam.
Dr. Tran is the author of Evaluating Hedge Fund Performance and Foreign Exchange Management in Multinational Firms. He resides in Greenwich, Connecticut with his wife and two children.
Acknowledgments xii
About the Author xiii
Introduction 1
Chapter 1: Black Swan Octobers 7
Chapter 2: Japan: The Setting Sun 33
Chapter 3: The Root Causes: Leveraging and Excess 59
Chapter 4: The New Economic Reality 83
Chapter 5: Bulls and Bears: The Long Cycles 113
Chapter 6: Investment Paradigms: Beliefs and Reality 133
Chapter 7: Investing in Markets Upside Down 157
Chapter 8: Beware of the Risks 181
Chapter 9: Absolute Return: Manage Risks and Build Wealth 203
Chapter 10: Absolute Return and Alpha 231
Chapter 11: Beyond the Traditional 261
Conclusion 287
Notes 293
Index 311
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