This chapter explores the historical performance of the British stock market from 1800 to World War I, discussing booms and busts, the impact of global events, and the role of central banking.
In this episode we answer emails from Mark, Wesley and Tom. We make fun of the host and talk about his personality traits and the Big Five personality test, Wesley's portfolio and the new managed futures fund, CTA, and a question about the historical performance about stocks in Great Britain.