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The Little Book of Margin of Safety: The Investor’s Numbers Framework. The little book series: Decision Filters
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- FormatePub
- ISBN8233601262
- EAN9798233601262
- Date de parution06/04/2026
- Protection num.pas de protection
- Infos supplémentairesepub
- ÉditeurLinda Balsamo
Résumé
Most investing books tell you what to buy. This one shows you how to survive being wrong. In real markets, ideas alone don't decide outcomes. Entry price, position size, and exit discipline do. The Gap Most Investors MissYou find a strong business. You estimate its value. You invest with conviction. And still-you lose money. Not because your analysis failed, but because: You paid the wrong price You risked too much You had no clear exit This book addresses that gap directly.
What This Book DeliversThis is a practical, numbers-driven system-not theory. It answers three critical questions every investor faces: When is the right price to buy? How much capital is safe to risk? When should you exit-no debate, no hesitation? Each answer is defined with clear calculations, thresholds, and pre-set rules. No guesswork. No reliance on instinct. What You'll Learn Filter before valuingUse ROIC, pricing power, and capital allocation to eliminate weak businesses early.
Value with realismBuild scenario-based valuations (DCF + EPV) that reflect uncertainty. Define precise entry pointsTurn valuation into a clear margin of safety-not a vague discount. Control risk upfrontApply position sizing (1-2% risk), portfolio limits, and correlation checks. Exit with disciplineSet hard stops, thesis breaks, valuation targets, and time-based exits in advance. Why This Approach WorksIt removes the mistakes that destroy returns: Overconfidence in analysis Oversized positions Emotional decisions under pressure Holding too long-or exiting too early And replaces them with: Structure over instinct Rules over reactions Survival before growth Built from ExperienceThis framework comes from real investing: Losses Drawdowns Errors in sizing, exits, and valuation Refined into a repeatable system designed to: Limit downside Protect capital Enable long-term compounding Who It's For Investors who know the basics Those seeking a disciplined process Anyone tired of vague advice and gut-driven decisions Those who prioritize avoiding losses over chasing returns Core IdeaLosses don't come from lack of intelligence.
They come from a process that breaks under pressure. This book gives you one that holds. Final NoteYou don't need better ideas. You need better decisions around them. Returns come from being right. Survival comes from being prepared to be wrong. This book teaches both. Summary:A precise investing system that tells you when to buy, how much to risk, and when to exit. Built on real mistakes, it helps you avoid costly errors, protect capital, and compound with discipline.
Author:Nishant Kumar (writing as Mr Chandravanshi & Nishant Chandravanshi)
What This Book DeliversThis is a practical, numbers-driven system-not theory. It answers three critical questions every investor faces: When is the right price to buy? How much capital is safe to risk? When should you exit-no debate, no hesitation? Each answer is defined with clear calculations, thresholds, and pre-set rules. No guesswork. No reliance on instinct. What You'll Learn Filter before valuingUse ROIC, pricing power, and capital allocation to eliminate weak businesses early.
Value with realismBuild scenario-based valuations (DCF + EPV) that reflect uncertainty. Define precise entry pointsTurn valuation into a clear margin of safety-not a vague discount. Control risk upfrontApply position sizing (1-2% risk), portfolio limits, and correlation checks. Exit with disciplineSet hard stops, thesis breaks, valuation targets, and time-based exits in advance. Why This Approach WorksIt removes the mistakes that destroy returns: Overconfidence in analysis Oversized positions Emotional decisions under pressure Holding too long-or exiting too early And replaces them with: Structure over instinct Rules over reactions Survival before growth Built from ExperienceThis framework comes from real investing: Losses Drawdowns Errors in sizing, exits, and valuation Refined into a repeatable system designed to: Limit downside Protect capital Enable long-term compounding Who It's For Investors who know the basics Those seeking a disciplined process Anyone tired of vague advice and gut-driven decisions Those who prioritize avoiding losses over chasing returns Core IdeaLosses don't come from lack of intelligence.
They come from a process that breaks under pressure. This book gives you one that holds. Final NoteYou don't need better ideas. You need better decisions around them. Returns come from being right. Survival comes from being prepared to be wrong. This book teaches both. Summary:A precise investing system that tells you when to buy, how much to risk, and when to exit. Built on real mistakes, it helps you avoid costly errors, protect capital, and compound with discipline.
Author:Nishant Kumar (writing as Mr Chandravanshi & Nishant Chandravanshi)






