Rabu, 01 Januari 2014

[W787.Ebook] Ebook Download Incompressible Flow, by Ronald L. Panton

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Incompressible Flow, by Ronald L. Panton

The most teachable book on incompressible flow— now fully revised, updated, and expanded

Incompressible Flow, Fourth Edition is the updated and revised edition of Ronald Panton's classic text. It continues a respected tradition of providing the most comprehensive coverage of the subject in an exceptionally clear, unified, and carefully paced introduction to advanced concepts in fluid mechanics. Beginning with basic principles, this Fourth Edition patiently develops the math and physics leading to major theories. Throughout, the book provides a unified presentation of physics, mathematics, and engineering applications, liberally supplemented with helpful exercises and example problems.

Revised to reflect students' ready access to mathematical computer programs that have advanced features and are easy to use, Incompressible Flow, Fourth Edition includes:

  • Several more exact solutions of the Navier-Stokes equations
  • Classic-style Fortran programs for the Hiemenz flow, the Psi-Omega method for entrance flow, and the laminar boundary layer program, all revised into MATLAB
  • A new discussion of the global vorticity boundary restriction
  • A revised vorticity dynamics chapter with new examples, including the ring line vortex and the Fraenkel-Norbury vortex solutions
  • A discussion of the different behaviors that occur in subsonic and supersonic steady flows
  • Additional emphasis on composite asymptotic expansions

Incompressible Flow, Fourth Edition is the ideal coursebook for classes in fluid dynamics offered in mechanical, aerospace, and chemical engineering programs.

  • Sales Rank: #422420 in Books
  • Brand: Brand: Wiley
  • Published on: 2013-08-05
  • Original language: English
  • Number of items: 1
  • Dimensions: 9.50" h x 1.35" w x 7.70" l, 3.11 pounds
  • Binding: Hardcover
  • 912 pages
Features
  • Used Book in Good Condition

Review

“Incompressible Flow, Fourth Edition is the ideal coursebook for classes in fluid dynamics offered in mechanical, aerospace, and chemical engineering programs.”  (Expofairs.com, 28 November 2013)

From the Back Cover

The most teachable book on incompressible flow— now fully revised, updated, and expanded

Incompressible Flow, Fourth Edition is the updated and revised edition of Ronald Panton's classic text. It continues a respected tradition of providing the most comprehensive coverage of the subject in an exceptionally clear, unified, and carefully paced introduction to advanced concepts in fluid mechanics. Beginning with basic principles, this Fourth Edition patiently develops the math and physics leading to major theories. Throughout, the book provides a unified presentation of physics, mathematics, and engineering applications, liberally supplemented with helpful exercises and example problems.

Revised to reflect students' ready access to mathematical computer programs that have advanced features and are easy to use, Incompressible Flow, Fourth Edition includes:

  • Several more exact solutions of the Navier-Stokes equations
  • Classic-style Fortran programs for the Hiemenz flow, the Psi-Omega method for entrance flow, and the laminar boundary layer program, all revised into MATLAB
  • A new discussion of the global vorticity boundary restriction
  • A revised vorticity dynamics chapter with new examples, including the ring line vortex and the Fraenkel-Norbury vortex solutions
  • A discussion of the different behaviors that occur in subsonic and supersonic steady flows
  • Additional emphasis on composite asymptotic expansions

Incompressible Flow, Fourth Edition is the ideal coursebook for classes in fluid dynamics offered in mechanical, aerospace, and chemical engineering programs.

About the Author

RONALD L. PANTON is the J. H. Herring Centennial Professor Emeritus in the Department of Mechanical Engineering at The University of Texas at Austin.

Most helpful customer reviews

20 of 23 people found the following review helpful.
Incomprehensible Flow
By A Customer
This book presents a horrible introduction to graduate level fluid mechanics. Some faculties like to teach from this book because of a few well-written sections near the end of an otherwise disastrous attempt on the subject. Kundu or Currie present a much more comprehensive approach to introducing the wonderful subject of fluids and the different solutions of the Navier-Stokes equations.

10 of 13 people found the following review helpful.
best GRADUATE level fluid mechanics book
By Xiao Hu
This book is an excellent GRADUATE level text book on fluid mechanics. But to benefit from the book, you will first need to have good if not excellent understanding of undergraduate level material. On top of that, you will need to know index notation and perhaps some tesor knowledge from another class. The book only gives a brief review on this. If you are not familar with index notation or 2nd order tensor, the book by Aris is pretty decent. Some other good books are by Currie, White, Bird. But these books are not really good GRADUATE level texts. They are more of a dual level text IMO. And none of those cover as many important topics as this one does. And they try to avoid using tensor. But unfortunately, tensor is one of the most beautiful concepts in continum mechanics. Any text book on continum mechanics avoiding using tensor is at most a dual level text IMO.

All books mentioned above have examples with analytical solutions. And some of them are quite mathematical. Most of them have no good connection to real applications. However, you learn critical thinking rather than the knowledge from those examples. So, be ready to sharpen your analytical skills when studying those examples. But do not expect to be able to apply all of them to your real life applications.

12 of 16 people found the following review helpful.
Full of errors
By UT student
The book is great, but FULL of erros. It looks like it never was corrected or edited. There are sign error on equations, missing terms is equations, bad correlation of equation numbers and so on. The overall quality of the book is excellent, but the errors kill it. Luckily the teacher of my class was the author himself so I could ask him and correct the errors as I was reading on. However, if you're buying this book and the author is not your teacher (most likely), then you'll run into some anoying troubles.

See all 27 customer reviews...

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This text is designed for both employees of mortgage lenders and individuals studying real estate finance who want to enhance that study with practical residential mortgage lending principles and practices. The author provides a thorough overview of mortgage lending today and outlines the practices of mortgage businesses to compete successfully in this competitive market. The mortgage lending industry has experienced significant changes resulting in a new economy. Addressing the SAFE Act and other new mortgage regulations governing the lending industry, this edition has a new emphasis on the practical applications of mortgage lending making it an excellent resource for learning residential mortgage lending operations. Each step of the mortgage process is covered while clearly explaining the fundamentals in an easy-to-understand manner. No prior knowledge of real estate finance or any part of mortgage lending is required. Students will gain practical knowledge on residential lending business, and mortgage professionals will find this to be a valuable resource.

  • Sales Rank: #277773 in Books
  • Published on: 2011-05-18
  • Format: International Edition
  • Original language: English
  • Number of items: 1
  • Dimensions: 1.30" h x 7.30" w x 9.20" l, 2.29 pounds
  • Binding: Paperback
  • 592 pages

Most helpful customer reviews

31 of 33 people found the following review helpful.
Thorough review of mortgage lending development and practice
By Andre
This is a must read and good reference book for mortgage professionals, including lenders and practitioners in secondary mortgage business. The book gives excellent review of the development of residential lending in US, of government regulations, major market players, and important product types. Then the book gets to the details of mortgage lending processes and also touches the secondary markets. Readers can definitely gain valuable and practical knowledge on residential lending business after walk through the book.

14 of 15 people found the following review helpful.
Great introduction to the industry
By Ram Lakshmanan
I recommend this book to all those who want to get familiar with the U.S. Mortgage/Residential Lending industry. This book provides a good historical perspective of the industry and its development in the U.S., and explains the mortgage process from soup-to-nuts - right from the application stage to the servicing and default management stage. As an industry professional, I have benefited a lot from reading this book. I have also recommended it to many friends and associates who have benefited a lot as well. The most appealing aspects of this book are that it is comprehensive, simple-to-read, and interesting.

0 of 0 people found the following review helpful.
Four Stars
By vita
Book was in great condition and arrived promptly. The book itself is not good, poorly organized.

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Senin, 30 Desember 2013

[Y721.Ebook] Ebook Free Quem Me Roubou de Mim? - 2013 Edition (Em Portugues do Brasil), by Fabio de Melo

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  • Sales Rank: #978153 in Books
  • Published on: 2013-01-01
  • Dimensions: .55" h x 6.06" w x 8.90" l,
  • Binding: Paperback
  • 216 pages

Most helpful customer reviews

0 of 1 people found the following review helpful.
Paulo Coelho
By Marta F.
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Comprehensive coverage of the four major trading styles

Evolution of a Trader explores the four trading styles that people use when learning to trade or invest in the stock market. Often, beginners enter the stock market by:

  • Buying and holding onto a stock (value investing). That works well until the trend ends or a bear market begins. Then they try
  • Position trading. This is the same as buy-and-hold, except the technique sells positions before a significant trend change occurs.
  • Swing trading follows when traders increase their frequency of trading, trying to catch the short-term up and down swings. Finally, people try
  • Day trading by completing their trades in a single day.

This series provides comprehensive coverage of the four trading styles by offering numerous tips, sharing discoveries, and discussing specific trading setups to help you become a successful trader or investor as you journey through each style.

Trading Basics takes an in-depth look at money management, stops, support and resistance, and offers dozens of tips every trader should know.

Fundamental Analysis and Position Trading discusses when to sell a buy-and-hold position, uncovers which fundamentals work best, and uses them to find stocks that become 10-baggers—stocks that climb by 10 times their original value.

Swing and Day Trading reveals methods to time the market swings, including specific trading setups, but it covers the basics as well, such as setting up a home trading office and how much money you can make day trading.

  • Sales Rank: #896510 in Books
  • Brand: Brand: Wiley
  • Published on: 2013-01-22
  • Original language: English
  • Number of items: 1
  • Dimensions: 9.30" h x 1.05" w x 6.30" l, 1.11 pounds
  • Binding: Hardcover
  • 320 pages
Features
  • Used Book in Good Condition

Review

“The three books in this series were written for people unfamiliar with the inner workings of the stock market, but will still curl the toes of professionals, too.  Research is used to prove the ideas discussed, but is presented in an easy to understand and light-hearted manner.  You will find the books to be as entertaining as they are informative and packed with moneymaking tips and ideas.  Use the ideas presented here to hone your trading style and improve your success.  Whether you are a novice who has never purchased a stock but wants to, or a professional money manager who trades daily, these books are a necessary addition to any market enthusiast’s bookshelf.”
—Alan Battista, Stockineer.com Book Review

From the Inside Flap

This final installment of Evolution of a Trader introduces the two most popular short-term trading approaches: swing trading and day trading.

The first part of Swing and Day Trading pioneers swing trading using trendlines, channels, and two patterns, the three-bar net line and first thrust. Following that, Bulkowski offers step-by-step coverage of an array of swing trading strategies, tools, and techniques. You'll learn the basics of how to time your entries and exits, how to calculate price targets, how to read and profit from event patterns (including Bulkowski's favorite, the "inverted dead cat bounce"), and several trading setups, detailed, and tested.

In the remaining chapters, Bulkowski digs into the white-knuckle world of day trading. He starts by exploring the psychology of day trading and helps you decide if you're temperamentally and financially suited for it. He discusses what's involved in setting up a day-trading home office, reviews the rules for day traders (pattern day trading and wash sales), how to pick stocks to trade, and discusses new research on the most common reversal times of the day including discoveries of when stocks reach their intraday highs and lows. A pre-market checklist serves as guidance for trading plans.

He researches the opening gap setup, discusses common intraday chart patterns and how to profit from them, describes the opening range breakout setup, and completes the book with ten horror stories that will make you think twice about using leverage.

Bulkowski's work sets an example for how financial books should be written. He doesn't just repeat what others have said. Rather, he investigates and researches his facts before teaching the reader in an entertaining and informative style that is accessible for beginners and professionals.

Whether you're just dipping a toe in the swing or day trading waters or you're a veteran of a thousand trades, Swing and Day Trading: Evolution of a Trader is one resource you cannot afford to be without.

From the Back Cover

Evolution of a Trader

The series Evolution of a Trader explores four trading styles that people use when learning to invest in the stock market. Often, beginners enter the stock market by

1. Buying and holding on to a stock. That works well until a bear market begins. Then they try

2. Position trading. This seeks to exit positions before a significant trend change occurs.

3. Swing trading follows when traders try to catch short-term swings. Finally, people try

4. Day trading by completing their trades in a single day.

This series takes a detailed look at each of the four styles by offering numerous tips, sharing discoveries, and discussing specific trading techniques to help the reader be successful as they journey through each style.

The first book, Trading Basics, takes an in-depth look at money management, stops, support, and resistance, and offers dozens of tips every trader should know.

The second book, Fundamental Analysis and Position Trading, explains value investing and tests fundamental factors, such as book value, price-to-earnings, and price-to-sales ratios, to see how important they are to stock selection and performance. Chapters such as "How to Double Your Money," "Finding 10-Baggers," and "Trading 10-Baggers" put the fundamentals to work. Position trading introduces market timing to help remove the risk of buying and holding a stock for years.

The third book in the series, Swing and Day Trading, explains how to use chart patterns to swing and day trade. It reviews the basics, including the home office setup and the cost of day trading, and drills down into specific trading strategies such as the opening range breakout and the opening gap setup. It introduces new research on major reversal times and the time most likely to set the day's high and low. That is valuable information to a day trader.

Whether you are a novice who has never purchased a stock but wants to, or a professional money manager, these books are a necessary addition to any market enthusiast's bookshelf.

Most helpful customer reviews

33 of 33 people found the following review helpful.
Detailed coverage of the topic
By cloon
This book is one of several by the author and assumes you already know the basics. However it is very readable and a beginner should still benefit from reading it. I recommend it for the detailed test results of the indicators and patterns covered.

The author outlines two trading styles - trading in a channel and trend trading. He stated that he is not really into day trading. He is an end-of-day trader. However, there are a few chapters on Day Trading.

The emphasis on, and coverage of, patterns is impressively extensive. All the usual cast of characters like support and resistance, trendlines, and what seems like every conceivable pattern in the universe are covered. In addition there are such tpoics as the Three-Bar Net Line and the Monsanto Trade.

I read lots of books. Most of them roll out the same old lines with little new information. This book is not just another rehash. It has in depth coverage of the patterns and indicators and extensive "back tests" of the succes rates. One example is Ascending Triangles. We have seen all the pictures, but does it really work? He has a detailed table of results of various tests; Per Trade Profit/Loss, % Wins, Profit/Loss Ratio, Hold Time Loss, Hold Time (Days).

Finally, instead of the usual fuzzy chapter summary he has a "Chapter Checklist" - a checklist of the ideas covered in the chapter. I found this to be a good test of my short term memory!

For someone trying to reduce the myriad of options to a personal trading style this book is highly recommended.

31 of 32 people found the following review helpful.
Swing and day trading statistics galore
By Alan Battista
This review comes from stockineer.com which is why I wrote the review initially. It's worth sharing here as well to help others make their decision on the purchase of the book, so if the review sounds like it was written for another site, it was...just copied and pasted here.

Chapter 1:

The first chapter is a short one, giving an introduction to what swing trading is all about. It'll begin to set your expectations for this style of investing.

Chapter 2:

The chapter focuses on how to identify support and resistance. Showing how to draw trendlines is a big part of the chapter. There is a nice illustration of the usage of trendlines for a 10-year chart of Ultralife Corp that shows how accurately they can be used to signal entry and exit points. There is a host of trendline trading tips that Bulkowski lists, all of which are sound advice that I practice myself.

Just because a price rises or falls below a trendline doesn't mean the trend is now going to go in the opposite direction. Price can spend time consolidating in a horizontal move. Bulkowski offers an antidote for this condition that I've personally not seen so I can't verify how well it works (those stats are in the book). What I can say is that I gave it a shot a few days ago on a trade where I was looking to place a stop loss and it worked quite well. I'll look to use it more in the future once I see that I can apply it consistently.

Chapter 3:

The third chapter illustrates the specific patterns that can be used successfully in swing trading. You'll recognize quite a few as they are ones we talk about here. If you swing trade, you will often be overwhelmed with the amount of trade setups that you will find, but your job is to find the best setup for your money! The first table in this chapter shows the statistically most profitable patterns over multiple time frames. The chapter then continues discussing how to trade each one of these, offering guidelines, trading tips and trade examples to help you understand. There's a section devoted to throwbacks and pullbacks, where the price retraces the move from the breakout. The statistics shown are of particular interest to the swing trader because after a breakout the trader is feeling good as he watches the price zoom upward. However, at what time should he take profits? Should he buy more when the price comes back? Over what duration can all this be expected to happen? The chapter concludes with a checklist giving the main highlights.

Chapter 4:

Here's a nice chapter that's all about when to sell. It is something that I find one of the hardest aspects of swing trading. Bulkowski lists about 20 reasons to sell, so load your memory bank with these as they are good tips. There's also a nice table in the beginning of the chapter that lists the average percentage drops, ranking by chart pattern. These are given for 1 to 6 month performance averages for many patterns. He rounds out the chapter with three trade examples as well as another chapter checklist. For a few of the items in this chapter you'll need the other books in this series for the full details.

Chapter 5:

This was a pretty neat chapter devoted to special situations, like earnings, stock splits, dutch auctions and up/downgrades. There is one specific item that really grabbed my attention, the earnings flag. Many of the items in this chapter aren't really predictable, like a dutch auction. However, earnings come around several times a year so it gives you a chance to prepare. As such, it'll give you a chance to practice this technique to see how well it works for you. Over time, most of these situations will happen to stocks you own so you'll be more likely referring to this chapter when the time comes rather than committing these to memory.

Chapter 6:

I was really intrigued by Bulkowski's CPI Equation that monitors market sentiment by the quantity of bullish vs bearish chart patterns. I've often thought to myself that there must be a way to suggest overall bullishness/bearishness as a result of what the individual stocks are doing. I look at what I call, "Concurrent SAR" to make trades on individual stocks compared to what the overall market or sector is doing. The CPI Equation is not meant to be a trading signal, just overall market sentiment. Since reading this chapter I've kept an eye on Bulkowski's site where he has the indicator so that I can see how well it works for me. I'd say that I've been happy with it so far. There were peaks where it read negatively and valleys where it read positively, suggesting a change was coming and it did. In the chapter he goes over the details of the indicator and how it is derived.

The chapter is not only about the CPI Equation, but also about other swing trading tools. The swing rule is a great tool to use and in this chapter all the statistics are presented. For example, in a bull market 80% of upward swing trades hit their target within a +/-5% window based on 32,000 samples over 10 years. This is just a single cell in the table that has lots of stats on the swing rule. It's really a must read so that you can understand what to expect.

Is high volume or low volume better at a breakout? I think the answer may surprise you. It did me. It is counter intuitive at first, but you may come to a different rationalization if you spend some time thinking about it.

How does relative strength vs the index compare before and after a breakout? If you've been keeping up with your Stockineer, based on My Math, the answer should come as no surprise.

The chapter wraps up with three swing trading setups, Ascending Triangles, Rectangle Tops and Rectangle Bottoms. I loved this section because it ranks 24 different ways to trade these patterns based on over 1,500 stocks and 20 years of data. Each of the 24 trading tactics is based on entry, exit, hold time, profit goals, etc...etc...etc. There's too many to list. This is done for each of the three setups. The top ranked method is similar for all three and since I've seen this myself in trading, I can back it up that it works a lot of the time. I think for a lot of investors or those that do not understand swing trading, this method will surprise them. The end result is based on 1,000 trades, the net profit is $200,000. It's not that you win every time, just more than you lose....and losses are kept small.

This chapter was my favorite and makes the book worth having on your shelf just to have this information.

Chapter 7:

Now begins the second half of the book, devoted to day trading. I'm not personally a day trader, but in its similarities to swing trading, there's still plenty that a non day trader can learn. I also am intrigued by day trading so it was nice to get a peek behind the curtain. This chapter is an introduction to the topic. Can you really handle the stress of day trading? Do you think you can do better than a typical 9 - 5? Bulkowski helps you to answer those questions as well as what you can expect.

Chapter 8:

The discussion of day trading deepens. Cutting straight to the quick because money is the main objective, if you want to make "X" you should probably start with "Y." The intent here is to manage your expectations of profitability. If that works for you, how many computers do you need, monitors for each, furniture, hardware or software? There are statistical averages for what the typical day trader needs as well as outliers that have very advanced setups. The chapter continues with more details of day trading like bid/ask spreads, Level II quotes, Market Maker Manipulation, and volume. For those of aren't familiar with the day trading practice, this is a rather interesting chapter that exposes the differences in day trading vs other methods. You really need to be on your game because it requires quite a bit of thought and analysis of not only what the stock is doing but also what others are doing as well.

Chapter 9:

This is a discussion as well as statistics and examples of trading opening day gaps, which we see every day. The stats show how to trade these small percentages profitably. If you don't day trade, this chapter can still help you understand how to take a slightly more profitable position on the day you decide to make a trade.

Chapter 10:

This chapter is all about trading classic patterns but on the intraday scale. Bulkowski lists a host of trading guidelines for each pattern. As would be expected, rules similar to swing trading apply with a couple of additional caveats.

Chapter 11:

Here's more day trading price targets, chart time frames, stops as well as exit ideas. Of course, like all of the chapters, these tools are backed by statistics.

Chapter 12:

The last major chapter will have your heart racing. It did mine. It serves as a reminder that this is not a game. This is a livelihood that should not be taken lightly. These are stories where it's gone all wrong!

Summary:

Through the book, it'll feel like Tom is talking to you. It is not written in a textbook fashion, more like your uncle talking of his last fishing trip with some off the cuff interjections. Although there was plenty of review for me early in the book, there were plenty of things that I'd never seen anywhere else. Bulkowski backs up his work and that's what I love about his books. In this book, you'll recognize the patterns and how to trade them from his other books...I have almost all of them. The information is statistically a little different as this is the only of his books focused entirely on swing and day trading. There were a few chapters that really got me excited, specifically chapter 6. That chapter alone may make this book a good purchase for you.

I was really hoping for a discussion about indicators, such as RSI, OBV, Stochastics, MACD to name a few, in conjunction with Bulkowski's statistics, but these were not addressed. He suggests that he uses only price as an indicator and leaves momentum up to you to learn more. Trend Trading for a Living by Carr would be a good companion to Swing and Day Trading. I personally find momentum indicators useful so I would have loved to see statistics similar to the ones in Chapter 6 where a sell signal comes as stochastics cross over and fall below overbought. Perhaps Tom will take this on as his next project. I'll be first in line to buy it.

This is the third book of the Evolution of a Trader series and perhaps I should have read the second book first. Like the first book, the second was referenced a few times. There's a lot of information in the book, but to aid in using it as a reference, there's a final appendix that serves as a checklist for the entire book. The key to learning technical analysis is repetition and reinforcement which is how this last appendix really helps.

10 of 10 people found the following review helpful.
SUPERB
By Michael
I have read a number of investment books. Many are convoluted with unnecessary information. They are written as get rich schemes. This is a very technical book by Mr. Bulkowski. He does an excellent job at explaining all of the details from his studies. This is perfection at its best. My wife will read it also. Investing isn't easy, and he doesn't claim it to be. I recommend this to anyone wanting to get the proper knowledge to be a successful trader.

Michael

See all 14 customer reviews...

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The Little Book of Common Sense Investing: The Only Way to Guarantee Your Fair Share of Stock Market Returns, by John C. Bogle

“There are a few investment managers, of course, who are very good – though in the short run, it’s difficult to determine whether a great record is due to luck or talent. Most advisors, however, are far better at generating high fees than they are at generating high returns. In truth, their core competence is salesmanship. Rather than listen to their siren songs, investors – large and small – should instead read Jack Bogle’s The Little Book of Common Sense Investing.” – Warren Buffett, Chairman of Berkshire Hathaway, 2014 Annual Shareholder Letter.

Investing is all about common sense. Owning a diversified portfolio of stocks and holding it for the long term is a winner’s game. Trying to beat the stock market is theoretically a zero-sum game (for every winner, there must be a loser), but after the substantial costs of investing are deducted, it becomes a loser’s game. Common sense tells us—and history confirms—that the simplest and most efficient investment strategy is to buy and hold all of the nation’s publicly held businesses at very low cost. The classic index fund that owns this market portfolio is the only investment that guarantees you with your fair share of stock market returns.

To learn how to make index investing work for you, there’s no better mentor than legendary mutual fund industry veteran John C. Bogle. Over the course of his long career, Bogle—founder of the Vanguard Group and creator of the world’s first index mutual fund—has relied primarily on index investing to help Vanguard’s clients build substantial wealth. Now, with The Little Book of Common Sense Investing, he wants to help you do the same.

Filled with in-depth insights and practical advice, The Little Book of Common Sense Investing will show you how to incorporate this proven investment strategy into your portfolio. It will also change the very way you think about investing. Successful investing is not easy. (It requires discipline and patience.) But it is simple. For it’s all about common sense.

With The Little Book of Common Sense Investing as your guide, you’ll discover how to make investing a winner’s game:

  • Why business reality—dividend yields and earnings growth—is more important than market expectations
  • How to overcome the powerful impact of investment costs, taxes, and inflation
  • How the magic of compounding returns is overwhelmed by the tyranny of compounding costs
  • What expert investors and brilliant academics—from Warren Buffett and Benjamin Graham to Paul Samuelson and Burton Malkiel—have to say about index investing
  • And much more

You’ll also find warnings about investment fads and fashions, including the recent stampede into exchange traded funds and the rise of indexing gimmickry. The real formula for investment success is to own the entire market, while significantly minimizing the costs of financial intermediation. That’s what index investing is all about. And that’s what this book is all about.

  • Sales Rank: #2446 in Books
  • Brand: Bogle, John C.
  • Published on: 2007-03-05
  • Original language: English
  • Number of items: 1
  • Dimensions: 7.30" h x .92" w x 5.30" l, .60 pounds
  • Binding: Hardcover
  • 216 pages

Review
"excellent advice in a concise and accessible manner." (The Wall Street Journal, April 10, 2007)

"It's hard to argue with the eloquent logic of John C. Bogle's latest ode to index funds…Bogle's 'Little Book' offers much exemplary advice." (Bloomberg News, April 2007)

Among monetary gurus and wise men, John Bogle is a singular case. As the founder of the highly regarded Vanguard Group, he is revered for the company's commitment to providing value to its clients as well as profits to its investors. He even has his own group of fans, called "Bogleheads," who cling to every utterance and pronouncement from the great man.

In this latest entry in the Little Book series, Bogle's gentle prose contains idiot-proof advice for investors at all levels. He punctures the myth of the superiority of mutual funds and instead declares that by using a bit of common sense, low-cost index funds are the way to go for most modest stock investors. He's also wary of the ways of Wall Street and cautions investors to steer clear of its institutional con men and cautions against excessive fees and taxes that invariably eat up profits.
It's not very glamorous or exciting advice, but that's also his point: Slow and steady wins the race. (Miami Herald, April 9, 2007)

"genuinely provides investors with the ideal strategy for making the most of stock-market investing" (Motley Fool's UK website, March 8, 2007)

"It's an easy read that will, I suspect, quickly join Burton Malkiel's A Random Walk Down Wall Streetand Charles Ellis's Winning the Loser's Gameas one of the indexing crowd's favorite books."—Jonathan Clements (Wall Street Journal)

"It's hard to argue with the eloquent logic of John C. Bogle's latest ode to index funds." (Bloomberg Terminal, March 8, 2007).

"provides an opportunity to reflect on a remarkable career and legacy." (Financial Times, 19th March 2007)

"…it is John Bogle's hymn to index-tracking investment, and a fascinating read it is too." (Daily Telegraph, March 2007)

"Those who doubt my reasoning should read the Little Book of Common Sense Investing by John Bogle." (FT Adviser, 24th April 2007)

"…particularly interesting…goes some way towards discrediting the stockpicking virtues taught to me in my time as a financial journalist." (Fund Strategy, 7th May 2007)

"…wittily written, pocket-sized guide…If you want to learn how to avoid the unpredictabilities of the stock market and the fees of middle men, then this book is well worth a read." (Pensions Age, May 2007)

" ... For the individual investor, it presents a solid game plan for growing funds over the long haul." (Directorship, July 2007)

"... read Bogle's new Little Book of Common Sense Investingand you'll see how easy it is to beat the Alpha Hunters at their own game!" (MarketWatch, July 2007)

‘The one big thing that Bogle knows -- and explains so well in this slender volume -- is that buying and holding a broad benchmark of stocks while keeping fees to a minimum leads to higher long-term returns than constantly trading in a vain attempt to beat the market. Common sense? Yes. But radical too, as the entire investing establishment is designed to get investors to do the exact opposite.” (CNNMoney)

"Business books are often written by show-offs who want you to know all about their knowledge of the Greek tragedies and dark-coloured birds. So it was nice to get hold of the simply written Little Book of Common Sense Investing…Its author, John Bogle, in no simpleton. He built Vanguard into a huge fund manager...He is synonymous with index funds in the US. Vanguard's S&P 500 tracker is by far the world's largest mutual fund."—Stephen Cranston, Investor's Notebook (Jan 23, 2013)

From the Inside Flap
Investing is all about common sense. Owning a diversified portfolio of stocks and holding it for the long term is a winner's game. Trying to beat the stock market is theoretically a zero-sum game (for every winner, there must be a loser), and after the substantial costs of investing are deducted, it becomes a loser's game. Common sense tells us—and history confirms—that the simplest and most efficient investment strategy is to buy and hold all of the nation's publicly held businesses at very low cost. The classic index fund that owns this market portfolio is the only investment that guarantees you with your fair share of stock market returns.

To learn how to make index investing work for you, there's no better mentor than legendary mutual fund industry veteran John C. Bogle. Over the course of his long career, Bogle—founder of the Vanguard Group and creator of the world's first index mutual fund—has relied primarily on index investing to help Vanguard's clients build substantial wealth. Now, with The Little Book of Common Sense Investing, he wants to help you do the same.

Filled with in-depth insights and practical advice, The Little Book of Common Sense Investing will show you how to incorporate this proven investment strategy into your portfolio. It will also change the very way you think about investing. Successful investing is not easy—it requires discipline and patience. But it is simple, for it's all about common sense.

With The Little Book of Common Sense Investing as your guide, you'll discover how to make investing a winner's game:

  • Why business reality—dividend yields and earnings growth—is more important than market expectations
  • How to overcome the powerful impact of investment costs, taxes, and inflation
  • How the magic of compounding returns is overwhelmed by the tyranny of compounding costs
  • What expert investors and brilliant academics—from Warren Buffett and Benjamin Graham to Paul Samuelson and Burton Malkiel—have to say about index investing
  • And much more

You'll also find warnings about investment fads and fashions, including the recent stampede into exchange traded funds and the rise of indexing gimmickry. The real formula for investment success is to own the entire market, while significantly minimizing the costs of financial intermediation. That's what index investing is all about. And that's what this book is all about.

From the Back Cover
Praise for The Little Book of Common Sense Investing

"A low-cost index fund is the most sensible equity investment for the greatmajority of investors. My mentor, Ben Graham, took this position manyyears ago, and everything I have seen since convinces me of its truth.In this book, Jack Bogle tells you why."
—Warren E. Buffett, Chairman, Berkshire Hathaway Inc.

"John Bogle is living a useful life, and this book is a useful contribution to hisfellow citizens. It is dangerous for investors to believe a lot of nonsense,and the nonsense destroyers are particularly helpful when, like Bogle,they never tire in their animosity toward folly."
—Charles T. Munger, Vice Chairman, Berkshire Hathaway Inc.

"Whether you know it or not, Wall Street wants to steal your future.If you want to stop them, drop everything, read this marvelous little book,and take it to heart; your children, and their children's children, will thank you."
—William Bernstein, investment adviser and author, The Four Pillars of Investing

Most helpful customer reviews

3 of 3 people found the following review helpful.
OK for beginners but not detailed enough
By Emzet
This is the typical instance of an investment guru trying to sell their product by writing a book on the advantages of their own investment product.
That is not to say that the book is bad. Index funds are indeed the safest way to go for the average investor. The author does prove their point and he does warn you about the common pitfalls in other types of investment like mutual funds and actively managed funds. I definitely agree with 95% of his arguments.

The reason why I'm not 100% happy with the book is the level. This book is meant for people who do not have the slightest clue about investing or how the stock market works.
I was hoping for something a little more detailed and more technical. This was just too high level and filled with metaphors. I come from a technical background and I need graphs and figured to convince me, not metaphors. There is *some* data and some *graphs* but in my view, it's not enough.
The math is kept at a very low level and the data is a little sporadic. I understand the targeted audience is the average person with little economic background but I was still disappointed.

If you don't have a clue about investing, this is a really good read. The language is simple enough and I guess all the metaphors help convey the general points.
If you're looking for a specialized book on index fund investing, keep on searching.

1 of 1 people found the following review helpful.
Here's a little retirement funding AID that is actually worth having
By Grambo
ANYONE who invests really NEEDS to read this book! I lost a BUNDLE in the past year in the market. I began to think my investment advisory firm was NOT taking the best care of me, but the WERE GETTING PAID IN FULL while losing me a quarter million bucks!

And I started researching, looking for "A Better Way." I worked hard, put in many long hours, went through every resource available to me...

And then I found... This little book.

From it I've learned my advisors could never do as good a job for me as I CAN do for myself! This little book has led me to start moving my assets out of "helpers" hands, and finally reap the FULL rewards my invested money generates instead of letting my "helpers" continue helping themselves to MY MONEY!!!

The book is written by someone who is more verbose than I, but the book is well written, informative, and builds the author's case in a logical, stepwise manner. It shows you how you've been wrong, paying high fees unnecessarily. More, it shows you the tool available to everyone that allows much faster wealth building with passive investing than is possible with any active investing.

Yep, if you've got money TO invest (old farts like me do) you really need to read this book. I guarantee you will be helped by it. Especially considering we really can't count on Social Security for our old age. Social Security was never meant to be more than a source of PARTIAL suport! You'd jolly well better have your own money invested and generating enough additional cash to make your life comfortable in your old age, because nobody is going to do it for you! If you think Uncle Sugar is going to keep your comfortable in your older years, BOY are you in for a shock!

Buy the book. Read it. Learn how to be more financially secure, sooner. It's in the book!

0 of 0 people found the following review helpful.
Buy Several to Give to Friends
By J. Edgar Mihelic, MBA
I have read the most recent version of Malkiel’s “A Random Walk Down Mainstreet,” and it made me thankful for those people who actually go out and try to make a return for themselves on the market. It provides a service that current leftist critiques of finance capitalism forget – they provide liquidity and aid price discovery. Now, that is just a small part of what they do, and the bulk of their profits are actual rents, and half of the people will end up losers whatever system they try – because there are some patterns in the market, but I am a believer that the market will stay irrational longer than I can stay liquid. I guess at heart I am pretty conservative about what I do with my money because people like Malkiel and Bogle speak to me so much.

This book is like a cover version of Malkiel’s classic, coming in with a shorter page count and being less of a sales document – though where the recent “Random Walk” made me curious about Wealthfront and reading this made me go to the Vanguard website, I still am paying more in fees than I should to the company-administered 403(b) even in their so-called Index Fund. This is a pretty well-written book, but it does have a bit of an odd structure, with short chapters closed by asides referencing the current point made with an outside source instead of integrating it in the main chapter. Overall, though, it is a strong case for indexing your funds and taking advantage of the work the active traders do. When you are buying the market, you are giving up the chance of some great stock or sector that goes parabolic, but it also prevents you from thinking you are clever and taking a short position in that same sector just before it goes parabolic. Buy and hold and buy again seems to be the best way to ensure that the money you do invest will be there when you need it at the end of your life. I’m not trying to get rich by any means, but I’m also not looking to degrade the quality of my life at the end.

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  • Published on: 1984-10-11
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  • Sales Rank: #11212949 in Books
  • Published on: 2004-03-01
  • Original language: French
  • Dimensions: 5.91" h x .12" w x 8.27" l,
  • Binding: Mass Market Paperback

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