This blog post is part 3 of a “Beyond the default rate” series, which investigates what the default rate actually means, how it affects you and why you should know more than simply the number you see on some report. If you haven’t yet read the previous posts in the series, please do that before […]
Month: December 2014
16 tactics and strategies for P2P-lending
Few months ago I got this idea of putting together a Reference Guide of different tactics and strategies that investors can use with their P2P-lending investments. I have been working on this as a side project every now and then and the outcome is an overview of 16 strategies and tactics or different styles of investing […]
This blog post is part 4 of a “Beyond the default rate” series, which investigates what the default rate actually means, how it affects you and why you should know more than simply the number you see on some report. If you haven’t yet read the previous posts in the series, please do that before reading […]
Initial defaults vs current default rate
This blog post is part 3 of a “Beyond the default rate” series, which investigates what the default rate actually means, how it affects you and why you should know more than simply the number you see on some report. If you haven’t yet read the previous posts in the series, please do that before […]