First published 1988
Paul Emil Erdman applies his business expertise to forecast major market upheavals ahead. He predicts a severe stock market collapse will hit in February 1989, creating widespread financial disruption. But Erdman sees opportunity beyond the crash. He argues the 1990s will bring a sustained profitable era for savvy investors who position themselves correctly. The author combines his investment theories with practical guidance, offering specific tactics for navigating both the coming downturn and the recovery that follows. Erdman provides concrete tips for readers seeking to protect their wealth during the crash and capitalize on the decade of growth he envisions afterward.
Genres: business, economics, non-fiction, finance
Vibes: fast-paced, suspenseful, thought-provoking
Tropes: financial-advice, predictions
Period: 1989, 1990s
172 pages · Hardcover · Doubleday