Date: Wednesday, September 11, 2013
Topic: The 9/11 Investment Strategy: Preparing for the Unpredictable
Speaker: Mark Skousen, Ph.D., Editor in Chief, Forecasts & Strategies
In this presentation, Mark Skousen advises investors how to safely weather future financial storms caused by such drastic events as a monetary crisis, a major terrorist attack, collapse of the dollar or further Middle East turmoil. He outlines how investors can profit from seemingly unlikely sources: rising interest rates, credit crunches and Obamanomics (using private equity and healthcare stocks). Skousen also shares his outlook for stocks and bonds as well as his personal five favorite high-quality dividend stocks and closed-end funds.