A less risky way to invest in the financial sector. Read More

Ari Charney is the chief investment strategist for Utility Forecaster and Income Millionaire.
Prior to joining Investing Daily, Ari took an unlikely path toward dispensing investment advice. Shortly after graduating with a bachelor’s degree in political science from New York University, Ari sampled some of Wall Street’s best-known brokerages and investment banks for several months as an associate. His favorite memory was being paid an absurdly high hourly wage to point and yell at the bond salesmen on the legendary Bear Stearns trading floor when they had incoming phone calls.
Thereafter, Ari spent a substantial portion of his career at financial industry rating services. First, he pored over spreadsheets at the preeminent bond rating agency Moody’s Investors Service. Later, he analyzed investment newsletters for nearly eight years at The Hulbert Financial Digest (HFD).
While working for the HFD, Ari discovered his passion for helping self-directed investors select the right investment newsletter. Since joining Investing Daily, he’s extended that passion further by guiding investors toward the right securities for their portfolios.
In his free time, he and his wife tote their son along on their ethnic dining adventures in pursuit of the fabled Bosnian burger and the Thai restaurant with the secret Laotian menu.
Analyst Articles
Wasatch Funds gathers its best ideas in this top-performing global mutual fund. Read More
Although Canada’s conservative banking system saved its economy from the worst of the 2008-09 global financial crisis, policymakers are increasingly concerned about a burgeoning asset bubble in real estate. Read More
Although Canada’s conservative banking system saved its economy from the worst of the 2008-09 financial crisis, policymakers are increasingly concerned about a burgeoning asset bubble in real estate. Read More
Investors are debating what Chevron should do with the record amount of cash on its balance sheet. But management is keeping quiet. Read More
Although there are numerous investment products designed to exploit the VIX, their long-term price trajectory is toward zero. Read More
Australian investors are anxious about their country’s equity market, with many idling substantial portions of their portfolios in cash. Ironically, such behavior could actually bode well for the market’s near-term performance. Read More
Despite the scandal surrounding his role in MF Global’s bankruptcy, Jon Corzine hopes to run money again. And there may be some investors who are willing to let him. Read More
The difference between good volatility and bad volatility. Read More
Wasatch gathers its best ideas in this top-performing fund. Read More