Wednesday, May 14, 2014

Theory of Financial Relativity: Powerful New Book Helps Protect Investments, Exposing Framework for Predicting Market Trends.

Masterfully crafted by investment guru Daniel Moore, ‘Theory of Financial Relativity’ explains why financial markets suddenly change course and how these changes can be predicted. By meticulously studying U.S. financial markets from WWII to the present day, Moore has uncovered fourteen market corrections that display a predictable pattern of change. Sharing this information with the public for the first time, Moore’s work is poised to help millions protect their investments and take advantage of their movements for success.


For Immediate Release


Durham, NCBoth consumers and critics traditionally treat U.S. financial markets as a volatile and unpredictable world that could drastically change direction at a moment’s notice. While this theory holds a shred of truth, a powerful new book exposes the previously unknown and systematic pattern of ‘ups and downs’ that can actually help investors predict when a bull will become a bear.

Everything is showcased in ‘Theory of Financial Relativity’ by Daniel Moore. Hailed as “the most interesting man in the financial world,” Moore has spent hundreds of hours combing over seventy years worth of market trends to expose a game-changing and predictable pattern.

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