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Books > Business & Economics > Finance & accounting > Finance > Investment & securities
The Financial Times Guide to Options, will introduce you to the
instruments and markets of options, giving you the confidence to
trade successfully. Options are explained in real-life terminology,
using every-day examples and accessible language. Introducing three
key options markets - stocks, bonds and commodities, the book
explains options contracts from straight vanilla options to
strangles and butterflies and covers the fundamentals of options
pricing and trading Originally published as Options Plain and
Simple , this new edition includes: How the options industry
operates and how basic strategies have evolved Risk management and
how to trade safely Inclusion of new products such as exchange
traded funds A glossary of key words and further reading Addition
of market scenarios and examples Like all investment strategies,
options offer potential return while incurring potential risk. The
advantage of options trading is that risk can be managed to a
greater degree than with outright buying or selling. The Financial
Times Guide to Options is a straightforward and practical
introduction to the fundamentals of options. It includes only what
is essential to basic understanding and presents options theory in
conventional terms, with a minimum of jargon. This thorough guide
will give you a basis from which to trade most of the options
listed on most of the major exchanges. The Financial Times Guide to
Options includes: Options in everyday life The basics of calls The
basics of puts Pricing and behaviour Volatility and pricing models
The Greeks and risk assessment: delta Gamma and theta Vega Call
spreads and put spreads, or one by one directional spreads One by
two directional spreads Combos and hybrid spreads for market
direction Volatility spreads Combining straddles and strangles for
reduced risk Combining call spreads and put spreads The covered
write, the calendar spread and the diagonal spread The interaction
of the Greeks Options performance based on cost Trouble shooting
and common problems Volatility skews Futures, synthetics and
put-call parity Conversions, reversals, boxes and options arbitrage
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Flip
(Paperback, Ed)
Rick Villani, Clay Davis, Gary Keller
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R654
R563
Discovery Miles 5 630
Save R91 (14%)
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Ships in 12 - 19 working days
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"FLIP," the third book in the National Bestselling Millionaire
Real Estate Series (More than 500,000 copies sold )
"FLIP" provides a detailed, step-by-step process to analyze each
investment, identify the best improvements, accurately estimate the
costs and intelligently oversee the construction. It takes out all
the guess work and almost all of the risk.
Here's what industry experts are saying about "FLIP"
"Read this book before you flip that house "FLIP" is an
indispensable step-by-step guide to flipping houses that you will
refer to again and again." -Carlos Ortiz, Executive Producer, "FLIP
That House" (TLC's most popular real estate TV show)
"At HomeVestors, we're in the business of buying and selling
homes for profit and I can attest that there are few, if any, who
can rival Rick's and Clay's expertise when it comes to fixing up
houses for profit. This book is a must-read for any investor." -Dr.
John Hayes, President and CEO of HomeVestors of America (the
largest homebuyer in America)
""FLIP" is a must-read book for everyone in the real estate
business. Every agent should have this book. They should read it
and master its contents. Why? Because it is the best guide ever
written on how to evaluate real estate and how to add value to a
house." -Gary Keller, Founder and Chairman of the Board of Keller
Williams Realty International and author of bestselling "The
Millionaire Real Estate Agent" and "The Millionaire Real Estate
Investor"
"For anyone looking to build wealth in real estate, "FLIP"
provides a step-by-step approach that really works in any market."
-Loral Langemeier, bestselling author of "The Millionaire
Maker"
"FLIP" extends the national bestselling Millionaire Real Estate
series with a step-by-step guide that is quickly becoming "the
model" for successfully finding, fixing and selling investment
properties for profit.
Based on their involvement in over a 1,000 flips, Rick Villani
and Clay Davis walk you through the proven five-stage model for
successfully flipping a house: FIND: How to select ideal
neighborhoods, attract sellers, and find houses with investment
potential ANALYZE: Identify which improvements to make and analyze
the profit potential of any house BUY: How to arrange financing,
present the offer, and close on the purchase FIX: A 50-step,
easy-to-follow plan for fixing up houses that keeps you on time, in
budget and assures top quality SELL: How to add finishing touches
to quickly sell for maximum profit
Woven through the book is an entertaining narrative that follows
the flipping adventures of Samantha, Ed, Bill, Nancy, Amy and Mitch
as they find, buy, fix and sell their first investment houses. With
all this plus the experience of over a thousand flips condensed
into one book, "FLIP" gives new investors the tools they need to
avoid common pitfalls, make a profit, and enjoy the process of
house flipping.
Rick Villani and Clay Davis are senior executives at HomeFixers,
North America's leading real estate rehab franchise. HomeFixers has
been involved in more than 1,000 flips nationwide.
With incisive critical ana lysis and historical examples, "The
Great Crash Ahead "lays bare the traditional assumptions of
economics, outlining why the next financial crash and crisis is
inevitable, and just around the corner-- coming between mid-2012
and early 2015. Widely respected in the financial world for his
accurate forecasts, Harry S. Dent, Jr., shows that the government
doesn't drive our economy, consumers and businesses do; that the
Fed does not create most of the money in our economy, the private
banking system does. This necessary and illuminating book gives
very clear strategies for prospering in the challenging decade
ahead . . . a world turned upside down.
The long-awaited revised edition of the stock trading classic gets
you fully up to date on value investing, ESG investing, and other
important developments The definitive guide to stock trading,
Stocks for the Long Run has been providing the knowledge, insights,
and tools that traders need to beat the market for nearly 30 years.
This new edition brings you fully up to date on everything you need
to know to draw steady profits for yourself or your clients. It's
been updated with new chapters and content on: * The role of value
investing * The impact of
ESG-Environmental/Social/Governance-issues on the future of
investing * The current interest rate environment * Future returns
investors should expect in the bond and stock markets * The role of
international investing * The long-run risks on equity markets *
The role of black swan events, such as a pandemic You'll also get
in-depth discussions on the big questions investors face: Are we
seeing the eclipse of capitalism? What do global changes like
climate change mean for markets worldwide? Stocks for the Long Run
is essential reading for every investor and advisor who wants to
fully understand the market, including its behavior, past trends,
and future influences-in order to develop a prosperous long-term
portfolio that's both safe and secure.
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