HOW TO BUY LOW AND SELL HIGH
1) In the event of an economic recession or a negative exogenous shock, could investors lose all their money on the stock market?
2) Is it possible to reliably capture most of the upside and avoid some of the downside?
3) What are some smart strategies for improving return vs. risk?
4) Active vs. Buy-and-Hold investing? What is the best approach?
5) Does technical analysis help to predict market trends?