Gary Antonacci

Gary Antonacci
Gary Antonacci
Dual Momentum Investing: An Innovative Strategy for Higher Returns with Less Risk
Dual Momentum Investing details the author’s own momentum investing method that combines U.S. stock, world stock, and aggregate bond indices–in a formula proven to dramatically increase profits while lowering risk.

“A treasure of well-researched momentum-driven investing processes. Antonacci clearly shows a number of different methods that anyone who is serious about a long-term strategy will find easy to implement. This is one of those five-star books; it is logical and easy to grasp.”
– Gregory L. Morris, Chief Technical Analyst and Investment Committee Chairman, Stadion Money Management, LLC and author of Investing with the Trend
Optimal Momentum
Author website
LinkedIn
Twitter
Google+
Pinterest
Vancouver, BC, Canada
Gary Antonacci has over 35 years experience as an investment professional focusing on underexploited investment opportunities. His innovative research on momentum investing was the first place winner in 2012 and the second place winner in 2011 of the prestigious Wagner Awards for Advances in Active Investment Management given annually by the National Association of Active Investment Managers (NAAIM).

Antonacci received his MBA degree from the Harvard Business School in 1978. Since then, he has concentrated on researching, developing, and applying innovative investment strategies that have their basis in academic research. He serves as a consultant on asset allocation, portfolio construction, and advanced momentum strategies.
Momentum investing, How to consistently beat the stock market

What me worry?

  • Gary Antonacci