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Books > Business & Economics > Finance & accounting > Finance > Investment & securities > Stocks & shares

Trading ETFs, Second Edition: Gaining an Edge with  Technical Analysis (Hardcover, 2nd Edition): D. Wagner Trading ETFs, Second Edition: Gaining an Edge with Technical Analysis (Hardcover, 2nd Edition)
D. Wagner
R1,595 R1,211 Discovery Miles 12 110 Save R384 (24%) Ships in 10 - 15 working days

A comprehensive catalog of exchange-traded funds and insights into successful trading techniques

This "Second Edition" of the bestselling "Trading ETFs" offers an updated version of the definitive guide to this vital part of the capital markets. It contains numerous new examples of the techniques that author Deron Wagner uses in selecting the most timely ETFs to trade and underscores the core insights of his trading discipline "trade what you see, not what you think."

Written for professionals who are using, or should be using, ETFs as an asset class within their portfolios, as well as the individual investor who wants exposure to wider sectors and geographical regions than those available elsewhere.This revised edition of the classic resource focuses on the pros, cons, and potential pitfalls of trading the latest class of ETFsIncludes inversely correlated and leveraged ETFs and the dangers, risks, and benefits associated with each new class of ETFContains a refresher on the initial concept of ETF selection and new case studies on ideal entry and exit points as well as examples of real trades

This thoroughly revised and updated edition offers a "go-to" reference for understanding exchange-traded funds.

Wall Street on Trial - A Corrupted State? (Hardcover): Justin O'Brien Wall Street on Trial - A Corrupted State? (Hardcover)
Justin O'Brien
R1,126 R884 Discovery Miles 8 840 Save R242 (21%) Ships in 10 - 15 working days

The politics of business have become the business of politics. Across the world the lesson is clear: just as too much governmental interference leads to dysfunctional economies, left to its own devices the market is incapable of adequate self-regulation.

The corporate malfeasance crisis in the United States has transformed global perceptions about the efficacy of regulatory structures in combating corrupt practices in private and public sectors. The design of effective corporate governance structures depends not just on internal factors but also on the inter-relationship between various actors that constitute wider governance: politicians, lobbyists, corporations and regulators.

"Wall Street on Trial: " "A Corrupted State" breaks new ground by deconstructing the systemic flaws inherent in the model itself. It reveals that the 'rotten apple' theory, positing the problems in corporate America as merely the result of deviancy by an individual or a single firm, is an intellectual deceit not supported by the facts.

Stock Markets, Speculative Bubbles and Economic Growth - New Dimensions in the Co-evolution of Real and Financial Markets... Stock Markets, Speculative Bubbles and Economic Growth - New Dimensions in the Co-evolution of Real and Financial Markets (Hardcover)
Mathias Binswanger
R4,483 Discovery Miles 44 830 Ships in 10 - 15 working days

This book sheds new light on the role of speculative bubbles in the stock market and argues that, provided they are sustainable, bubbles may in fact have a positive effect on the market. In many developed countries, speculative bubbles in stock markets seem to have emerged as a persistent phenomenon. This book offers new perspectives on the role bubbles play in recent economic development. The author refutes the traditional argument that speculative bubbles necessarily increase instability or develop at the expense of real activities. He argues that, when profitable investment projects are scarce, bubbles on the stock market may provide additional investment opportunities with the potential to increase aggregate profits and to improve economic welfare. However, he allows that this potentially positive effect can only occur if bubbles are sustainable and do not burst. Highly sophisticated financial systems are needed in order to allow for positive effects to develop or, as recent experience in Asia has shown, the destabilizing effects will outweigh the potential benefits. The book takes a groundbreaking view on speculative bubbles and will be invaluable to academics and practitioners with an interest in financial economics.

Financial Times Guide to How the Stock Market Really Works, The (Paperback, 5th edition): Leo Gough Financial Times Guide to How the Stock Market Really Works, The (Paperback, 5th edition)
Leo Gough
R640 R572 Discovery Miles 5 720 Save R68 (11%) Ships in 5 - 10 working days

"The Financial Times Guide to How the Stock Market Really Works" is an introduction to the complex world of the financial markets. Whether you are new to investing, or already have a share portfolio, this is an intelligent guidebook will guide you safely through the often confusing world of investing. Written especially for the ordinary investor, it will provide you with the key strategies you need to make money on the stock market.

When Genius Failed - The Rise and Fall of Long Term Capital Management - How One Small bank Created a Trillion Dollar Hole... When Genius Failed - The Rise and Fall of Long Term Capital Management - How One Small bank Created a Trillion Dollar Hole (Paperback, New Ed)
Roger Lowenstein 5
R313 R283 Discovery Miles 2 830 Save R30 (10%) Ships in 9 - 17 working days

Picking up where Liar's Poker left off (literally, in the bond dealer's desks of Salomon Brothers) the story of Long-Term Capital Management is of a group of elite investors who believed they could beat the market and, like alchemists, create limitless wealth for themselves and their partners. Founded by John Meriweather, a notoriously confident bond dealer, along with two Nobel prize winners and a floor of Wall Street's brightest and best, Long-Term Captial Management was from the beginning hailed as a new gold standard in investing. It was to be the hedge fund to end all other hedge funds: a discreet private investment club limited to those rich enough to pony up millions. It became the banks' own favourite fund and from its inception achieved a run of dizzyingly spectacular returns. New investors barged each other aside to get their investment money into LTCM's hands. But as competitors began to mimic Meriweather's fund, he altered strategy to maintain the fund's performance, leveraging capital with credit on a scale not fully understood and never seen before. When the markets in Indonesia, South America and Russia crashed in 1998 LCTM's investments crashed with them and mountainous debts accumulated. The fund was in melt-down, and threatening to bring down into its trillion-dollar black hole a host of financial instiutions from New York to Switzerland. It's a tale of vivid characters, overwheening ambition, and perilous drama told, in Roger Lowenstein's hands, with brilliant style and panache.

Developing an Effective Model for Detecting Trade-Based Market Manipulation (Hardcover): Jose Joy Thoppan, M. Punniyamoorthy,... Developing an Effective Model for Detecting Trade-Based Market Manipulation (Hardcover)
Jose Joy Thoppan, M. Punniyamoorthy, K. Ganesh, Sanjay Mohapatra
R1,650 Discovery Miles 16 500 Ships in 10 - 15 working days

Stock market manipulation is detrimental to traders and corporations, causes unnecessary price fluctuations, and only benefits financial criminals. The research presented here determines an appropriate model to help identify stocks witnessing activities that are indicative of potential manipulation through three separate but related studies. In Developing an Effective Model for Detecting Trade-Based Market Manipulation, classifiers based on three different techniques namely discriminant analysis, a composite classifier based on Artificial Neural Network and Genetic Algorithm and support Vector Machines is proposed. The proposed models help investigators, with varying degree of accuracy, to arrive at a shortlist of securities which could be subject to further detailed investigation to detect the type and nature of the manipulation, if any. Following a fluid outline, Developing an Effective Model for Detecting Trade-Based Market Manipulation, introduces the topic, explores the aims and scopes of the research, before delving into the data and modelling to explore their application to the stock market to detect price manipulation.

Mastering the Stock Market - High Probability Market Timing and Stock Selection Tools (Hardcover, New): JL Person Mastering the Stock Market - High Probability Market Timing and Stock Selection Tools (Hardcover, New)
JL Person
R1,930 R1,444 Discovery Miles 14 440 Save R486 (25%) Ships in 10 - 15 working days

Noted technical analyst John Person outlines a comprehensive method to pinpointing today's best trading opportunities

The economy and stock market are heavily influenced by seasonal factors. For example, a strong holiday buying season tends to be bullish for retail stocks or rising energy costs hurt airline profitability. Awareness of seasonal trends in both the economy and stock market can put you in a better position to profit from sectors and stocks that are likely to outperform the overall market. And technical tools can then be used to confirm emerging trends and time entries into these stocks and sectors.

"Mastering the Stock Market" provides authoritative insights into a method for trading stocks based on seasonal trends, sector analysis, and market timing. Taking a top-down approach, the book explains how seasonal supply/demand forces impact commodities and different sectors of the stock market. After learning how to identify stock market sectors and commodity ETFs that are ripe for a big move, you'll quickly discover how to use technical analysis to gauge the strength of the sector or commodity and then identify the strongest stocks and ETFs to trade. Along the way, you'll also learn how to use the author's own indicators, Persons Pivots, to identify support/resistance areas and pinpoint optimal entry and exit points.Outlines a proven technical approach for trading stocks based on seasonal trends, sector analysis, and market timingBreaks new ground in comparative relative strength, trading volume, breadth indicators, and utilizing pivot analysis in conjunction with options expiration days to identify trading opportunitiesWritten by noted technical analyst John L. Person

To successfully trade today's markets you need to use a proven approach and have the discipline to effectively implement it. "Mastering the Stock Market "has what you need to achieve these goals and capture consistent profits along the way.

Trading Catalysts - How Events Move Markets and Create Trading Opportunities (Paperback): Robert Webb Trading Catalysts - How Events Move Markets and Create Trading Opportunities (Paperback)
Robert Webb
R859 Discovery Miles 8 590 Ships in 10 - 15 working days

"Trading Catalysts takes you into the market and recounts moment-by-moment price action. From an almost 14% rise in the Nasdaq following a surprise Fed rate cut to an incredible (and temporary) 22% decline in the S&P 500 futures price folliwng a single large sell order, Trading Catalysts is loaded witih real-life examples of how events move markets. Must reading for traders and investors alike." --Victor Canto, Pd.D., founder of La Jolla Economics and a columnist for The National Review "At last...an invaluable investment book that shows in detail how markets actually behaved during extreme events, times when fortunes were won or lost in the blink of an eye. This is the real world of trading and risk, not academic theory. Read, learn and prepare yourself because these types of extraordinary events will happen again." --Peter Matthews, Managing Partner, Optimation Investment Management LLC Understand the Triggers of Market Volatility-and Take Advantage of Them Actionable lessons from 25 years of major events-and the market's reactions to them Predicting the market impact of everything from Fed statements to natural disasters Separating real information from noise, major "market movers" from trivia In Trading Catalysts, Robert I. Webb examines the various factors that move markets. Webb focuses on the catalysts that spark the biggest price changes-and the greatest potential for substantial profits or losses. Using numerous real market examples, Webb demonstrates the often inconsistent response of prices to similar trading catalysts across markets and over time, the occasional significantly delayed response, and the frequent market overreaction. Whether traders bet directly on a trading catalyst, on the presumed market reaction (or overreaction) to it, or not at all, the potential impact on market prices and volatility means that all traders must pay attention to trading catalysts and the market reactions that they induce. At the very least, the prospect of significant volatility around some event may affect the timing of a trader's entry or exit of positions and may cause a trader to reduce his position size. If you're a serious trader, this book will help you understand the influence of trading catalysts and identify potential trading opportunities. Volatile financial markets create both the risk of substantial losses and the opportunity for substantial gains. Sudden jumps or breaks in prices can impart a roller-coaster-ride-like quality to trading or investing in financial markets. Trading Catalysts is the first complete guide to the events that spark large changes in prices. These include: central bank actions; ill-advised comments by policymakers; news of natural disasters; elections; certain economic reports; terrorism; company specific announcements; the unwinding of large positions by key market participants; and simple trading errors among others. The varied origin of trading catalysts means that some traders may have an edge in anticipating the market's reaction to certain trading catalysts. Numerous real market examples take the reader into the heart of the market to illustrate the direction, magnitude, speed, duration, intensity and breadthof influence of trading catalysts on market prices. Because a minute can be a "lifetime" in the world of trading, many of the detailed examples recount moment-by-moment and tick-by-tick changes in market prices. This book discusses the role that trading theses(or prevailing beliefs about market relationships), market conditions,and sentimentplay in determining how prices react and sometimes overreact to various trading catalysts over time. Trading Catalysts will help readers anticipate potential events that could spark rallies or breaks; predict situations with feedback loops that drive markets up or down; and identify situations where substantial overreactions are likely to occur. Size Matters: When key players unwind positions and move the markets The Information in Economic Reports: Rout or Rally? Uncertain market reaction to the forecast errors from economic reports Talk Isn't Cheap: When the comments of politicians and policymakers move markets Market Interventions: When governments intervene: case studies, from currencies to oil Geopolitical Risk: From elections to terrorism to wars Bubbles, Crashes, Corners, and Market Crises: Lessons from the "silver corner," the 1987 stock market crash, and the Asian Financial Crisis Quantifying the Market Impact of Natural Disasters: From earthquakes to floods to mad cow disease Fat Fingers: When trading errors and mistranslations move the market Of Straws and Camels' Backs: When trivial news sparks huge moves Preface Chapter 1: Introduction Chapter 2: Market Conditions and Sentiment Chapter 3: Talk Isn't Cheap Chapter 4: Geopolitical Events Chapter 5: Weather and Natural Disasters Chapter 6: Market Interventions Chapter 7: Periodic Economic Reports Chapter 8: Size Matters Chapter 9: Bubbles, Crashes, Corners, and Market Crises Chapter 10: The Accidental Catalyst Index

The Little Book of Big Profits from Small Stocks + Website - Why You'll Never Buy a Stock Over $10 Again (Hardcover, New):... The Little Book of Big Profits from Small Stocks + Website - Why You'll Never Buy a Stock Over $10 Again (Hardcover, New)
Hilary Kramer; Foreword by Louis Navellier
R503 R430 Discovery Miles 4 300 Save R73 (15%) Ships in 10 - 15 working days

The key to building wealth the low-priced stock way

Low-priced gems, or what author Hilary Kramer calls "breakout stocks" come in all kinds of shapes and sizes but they all have three things in common: (1) they are mostly under $10; (2) they are undervalued; and (3) they have specific catalysts in the near future that put them on the threshold of breaking out to much higher prices. In "The Little Book of Big Profits from Small Stocks," small stock expert Hilary Kramer looks for stocks with fifty to two hundred percent upside potential

From drug stocks that may have been punished because an FDA approval failed to materialize when Wall Street expected it to, to the overly zealous selling off of Ford, there are many great low-priced stock opportunities. In this Little Book you'll learn: How to identify the low cost stocks that have the potential to yield big profitsThe most important secret to making money in stock investingPlus, you'll gain instant access to a website with educational videos, interactive tools and stock recommendations

"The Little Book of Big Profits from Small Stocks" explains Kramer's methodology and gives you the ability to analyze the opportunities to pick your own winners.

High Returns from Low Risk - A remarkable stock Market paradox (Hardcover): P. Van Vliet High Returns from Low Risk - A remarkable stock Market paradox (Hardcover)
P. Van Vliet
R485 R418 Discovery Miles 4 180 Save R67 (14%) Ships in 10 - 15 working days

Believing "high-risk equals high-reward" is holding your portfolio hostage High Returns from Low Risk proves that low-volatility, low-risk portfolios beat high-volatility portfolios hands down, and shows you how to take advantage of this paradox to dramatically improve your returns. Investors traditionally view low-risk stocks as safe but unprofitable, but this old canard is based on a flawed premise; it fails to see beyond the monthly horizon, and ignores compounding returns. This book updates the thinking and brings reality to modelling to show how low-risk stocks actually outperform high-risk stocks by an order of magnitude. Easy to read and easy to implement, the plan presented here will help you construct a portfolio that delivers higher returns per unit of risk, and explains how to achieve excellent investment results over the long term. Do you still believe that investors are rewarded for bearing risk, and that the higher the risk, the greater the reward? That old axiom is holding you back, and it is time to start seeing the whole picture. This book shows you, through deep historical simulation, how to reap the rewards of smarter investing. * Learn how and why low-risk, low-volatility stocks beat the market * Discover the formula that outperforms Greenblatt's * Construct your own low-risk portfolio * Select the right ETF or low-risk fund to manage your money Great returns and lower risk sound like a winning combination what happens once everyone is doing it? The beauty of the low-risk strategy is that it continues to work even after the paradox is widely known; long-term investment success is possible for anyone who can shake off the entrenched wisdom and go low-risk. High Returns from Low Risk provides the proof, model and strategy to reign in your exposure while raking in the profit.

Gaming the Market - Applying Game Theory to Create  Winning Trading Strategies (Hardcover, New): RB Shelton Gaming the Market - Applying Game Theory to Create Winning Trading Strategies (Hardcover, New)
RB Shelton
R1,586 R1,201 Discovery Miles 12 010 Save R385 (24%) Ships in 10 - 15 working days

Gaming the Market: Applying Game Theory to Create Winning Trading Strategies is the first book to show investors how game theory is applicable to decisions about buying and selling stocks, bonds, mutual funds, futures, and options. As a practical trading guide, Gaming the Market will help investors master this revolutionary approach, and employ it to their advantage.

Although game theory has been studied since the 1940s, it has only recently been applied to the world of finance. Game theory champions garnered the 1994 Nobel Prize in Economics, and, today, this theory is used to analyze everything from the baseball strike to FCC auctions. Increasingly, game theory is making its mark as a potent tool for traders. In Gaming the Market, economist Ronald B. Shelton provides a model that enables traders to predict profitability and, as a result, make effective buy and sell decisions.

Stated simply, game theory is the study of conflict based on a formal approach to decision making that views decisions as choices made in a game. Whether playing individually or in a group, each player in a conflict has more than one course of action available to him, and the outcome of the "game" depends on the interaction of the strategies pursued by each. Shelton offers real-world examples that reveal how the principles of game theory drive financial markets --and how these same principles can be used to develop winning investment strategies. Through Shelton's organized and precise explanations--he uses familiar games such as chess and checkers to illustrate his points --readers gain a solid understanding of the key principles of game theory before applying them to actual financial market situations.

Gaming the Market examines the interaction between price fluctuations and risk acceptance levels and gradually constructs a game theory model which proves that there are probability-based formulas for determining the profitability of any given trade.

With appendixes on T-Bond futures, mathematical representations of the model, and QuickBasic code for calculating relative frequencies, Gaming the Market provides a thorough overview of the rules and strategies of game theory. This indispensable reference will prove invaluable to novice and seasoned players alike.

Are the markets a game? What are the rules? Who are the players?

How can you, as a player, come up with a winning strategy?

Now, acclaimed economist Ronald B. Shelton shows you how to master the power of game theory in the first trader's guide to this revolutionary approach to investment decisions!

"It's not often that a refreshingly new idea appears in the field of trading strategies or risk management, but Ronald B. Shelton has taken pieces from game theory and betting strategies and transformed them into a new, visual way to make trading decisions. . . . He has been able to put a value on trading situations which can increase your ability to manage risk as well as clarify expectations --both essential ingredients for success." --from the Foreword by Perry Kaufman author of The New Commodity Trading Systems and Methods.

"Gaming the Market is a very welcome and most useful new guide to playing profitably in the biggest and most complex game ever devised -- speculating in the financial markets. Investors and traders who study this book will gain valuable insights into the real nature of the markets and willlearn how to play the game to win." --Thomas A. Bierovic, President, Synergy Futures.

"Ronald B. Shelton has extended the field of excursion analysis with an innovative and provocative book that is sure to be widely read--and controversial. By examining the actual distributions of price excursion, he shows a technique to estimate your odds going in on a new position, and within the context of game theory, how to evaluate those chances. All traders and analysts seeking objective bases for trading will want to read this book." --John Sweeney, Technical Editor, Technical Analysis of Stocks and Commodities magazine.

The Fortune Sellers - The Big Business of Buying and Selling Predictions (Paperback, Revised): William A. Sherden The Fortune Sellers - The Big Business of Buying and Selling Predictions (Paperback, Revised)
William A. Sherden
R793 R628 Discovery Miles 6 280 Save R165 (21%) Ships in 10 - 15 working days

"An ambitious, intelligent, and very readable guide to understanding our present and our future."-Harry Beckwith, author of Selling the Invisible

No one can foretell the future. Or can they? There are many who purport to-and they are making a fortune. From meteorologists to investment advisers, prognosticating professionals are part of a multibillion-dollar industry. No longer merely fortunetellers, they are fortune sellers, offering us a commodity we're more than eager to buy: the future.

In this piercing and provocative exposé, business consultant and forecasting expert William Sherden casts an unblinking eye on the booming business of predicting the future, separating fact from fallacy to show us not only how best to use the forecasts we're given, but how to "select the nuggets of valuable future advice from amongst the $200 billion worth of mostly erroneous future predictions put forth each year."

Trading Binary Options, 2e - Strategies and Tactics (Hardcover, 2nd Edition): A. Cofnas Trading Binary Options, 2e - Strategies and Tactics (Hardcover, 2nd Edition)
A. Cofnas
R1,774 Discovery Miles 17 740 Ships in 18 - 22 working days

A clear and practical guide to using binary options to speculate, hedge, and trade Trading Binary Options is a strategic primer on effectively navigating this fast-growing segment. With clear explanations and a practical perspective, this authoritative guide shows you how binaries work, the strategies that bring out their strengths, how to integrate them into your current strategies, and much more. This updated second edition includes new coverage of Cantor-Fitzgerald binaries, New York Stock Exchange binaries, and how to use binaries to hedge trading, along with expert insight on the markets in which binaries are available. Independent traders and investors will find useful guidance on speculating on price movements or hedging their stock portfolios using these simple, less complex options with potentially substantial impact. Binary options provide either a fixed payout or nothing at all. While it sounds simple enough, using them effectively requires a more nuanced understanding of how, where, and why they work. This book provides the critical knowledge you need to utilize binary options to optimal effect. * Learn hedging and trading strategies specific to binaries * Choose the markets with best liquidity and lowest expenses * Find the right broker for your particular binary options strategy * Utilize binaries in conjunction with other strategies Popular in the over-the-counter market, binary options are frequently used to hedge or speculate on commodities, currencies, interest rates, and stock indices. They have become available to retail traders through the Chicago Board Options Exchange and the American Stock Exchange, as well as various online platforms, allowing you the opportunity to add yet another tool to your investing arsenal. Trading Binary Options is the essential resource for traders seeking clear guidance on these appealing options.

Essays in Financial Economics (Hardcover): Rita Biswas, Michael Michaelides Essays in Financial Economics (Hardcover)
Rita Biswas, Michael Michaelides
R2,782 Discovery Miles 27 820 Ships in 10 - 15 working days
How to Make a Million - Slowly - Guiding Principles From A Lifetime Of Investing (Hardcover): John Lee How to Make a Million - Slowly - Guiding Principles From A Lifetime Of Investing (Hardcover)
John Lee
R515 Discovery Miles 5 150 Ships in 9 - 17 working days

'John is a hero to many private investors in the UK. By tucking money away year after year, and choosing his investments wisely, he has accumulated a portfolio worth more than GBP1 million.' The Motley Fool 'I'm a big fan of the writings of John Lee. John Lee moves the market.' Monevator 'Lord (John) Lee of Trafford was one of the first UK investors to build an ISA portfolio worth more than GBP1 million, reaching that landmark in 2003.' Daily Telegraph, March 2012 John Lee is one of the UK's most successful private investors. Beginning with an investment pot of GBP125,000 in the early 1980s, by 2003 he had turned this into a thriving portfolio of over GBP1 million, and it has significantly increased in value since then. Using efficient investment methods, as well as pursuing a winning 'buy and hold' strategy, he was the UK's first ISA millionaire. In How to Make a Million - Slowly, John Lee offers invaluable lessons that will help you make the right decisions about your investments. Explaining why an unhurried portfolio is the best and most sustainable strategy for growth, you will learn how to spot opportunities, research and monitor the market, work with management and above all, make money.

How to Value Shares and Outperform the Market (Paperback): Glenn Martin How to Value Shares and Outperform the Market (Paperback)
Glenn Martin
R709 R617 Discovery Miles 6 170 Save R92 (13%) Ships in 10 - 15 working days

The simplest way to make money in the stock market is to buy shares when they are cheap and make profits when their prices increase. This technique is known as value investing and is the creed of the world's most successful investor, Warren Buffett. But how do you know when a share price is cheap? This book explains in simple terms how you can develop your own UK share and FTSE100 valuation spreadsheets to calculate share and market valuations. Comparing the valuations to current market prices reveals when shares are underpriced and produces calibrated buy and sell signals. The FTSE100 system, for example, indicates the periods when you should be invested in the FTSE100 and the periods when you should not be. Since 1984 the in-periods have produced 94 times more capital growth than the out-periods. The new valuation system is the heart of this complete practical guide for managing your own investments. It shows how you should be able to double the value of your long-term investments purely through avoiding high commercial fund management fees. Using the new valuation system should help you do a lot better than this and, for example, secure a pension up to eight times larger than that provided by commercial managers. As well as providing comprehensive information about the practical and profitable ways in which you can use the new valuation system, this book is a complete toolkit for creating personal wealth through UK equity investment. It includes risk controls, tax breaks, free information sources and recommendations on the best service providers. In short this book is your first step along the road to financial security.

Finding #1 Stocks - Screening, Backtesting and Time-Proven Strategies (Hardcover): K Matras Finding #1 Stocks - Screening, Backtesting and Time-Proven Strategies (Hardcover)
K Matras
R1,067 R877 Discovery Miles 8 770 Save R190 (18%) Ships in 10 - 15 working days

Practical trading tools and techniques developed by Zacks Investment Research

While there are many stock trading systems on the market today, that use a variety of different approaches and indicators, the approach used by Zacks Investment Research is built around the number one driver of stock prices: company earnings.

Based on Zacks Research Wizard product, this book provides you with market beating stock selection techniques and advice on how to build your own stock selection system. This practical guide discloses several trading methods that have outperformed the market for a long period of time and shows you how to screen stocks and develop selection criteria to build various types of stock portfolios, such as aggressive growth; growth and income; momentum; and value.Highlights several of Zacks trading methods that have outperformed the market for extended periods of timeDiscusses how to create customized systems incorporating elements of the Zacks approach with other types of fundamental and technical dataIncludes a 30-day free subscription to Zacks Research Wizard software

Written with the serious investor in mind, Finding #1 Stocks will put you in a better position to excel in today's dynamic markets.

Reminiscences of a Stock Operator, Annotated Edition - With New Commentary and Insights on the Life and Times of Jesse... Reminiscences of a Stock Operator, Annotated Edition - With New Commentary and Insights on the Life and Times of Jesse Livermore (Hardcover, Annotated Edition)
E. Lefevre 1
R917 R766 Discovery Miles 7 660 Save R151 (16%) Ships in 10 - 15 working days

With new commentary and Insights on the life and times of Jesse Livermore

"Reminiscences of a Stock Operator" is the fictionalized biography of perhaps the most famous financial speculator of all time-Jesse Livermore. This annotated edition bridges the gap between Edwin Lefevre's fictionalized account of Livermore's life and the actual, historical events, places, and people that populate the book. It also describes the variety of trading approaches Livermore used throughout his life and analyzes his psychological development as a trader and the lessons gained through hard experiences.Analyzes legendary trader Jesse Livermore's strategies and explains how they can be used in today's marketsProvides factual details regarding the actual companies Livermore traded in and the people who helped/hindered him along the wayExplains the structure and mechanics of the Livermore-era markets, including the bucket shops and the commodity exchangesIncludes more than 100 pages of new material

"Reminiscences of a Stock Operator" has endured over 70 years because traders and investors continue to find lessons from Livermore's experiences that they can apply to their own trading. This annotated edition will continue the trend.

Macroeconomic Variables and Security Prices in India during the Liberalized Period (Hardcover): Tarak Nath Sahu Macroeconomic Variables and Security Prices in India during the Liberalized Period (Hardcover)
Tarak Nath Sahu
R3,288 Discovery Miles 32 880 Ships in 10 - 15 working days

The liberalization and globalization of the Indian economy has made India more vulnerable to macro issues. This book provides a comprehensive analysis of the dynamic relationship between macroeconomic variables and stock prices in India. The research findings and policy implications discussed here may also be relevant for other emerging economies.

Share Investing For Dummies, 4th Australian Edition (Paperback): James Dunn Share Investing For Dummies, 4th Australian Edition (Paperback)
James Dunn
R649 R603 Discovery Miles 6 030 Save R46 (7%) Ships in 10 - 15 working days
The Insider Edge - How to Follow the Insiders for Windfall Profits (Hardcover): G. Cohen The Insider Edge - How to Follow the Insiders for Windfall Profits (Hardcover)
G. Cohen
R1,061 R854 Discovery Miles 8 540 Save R207 (20%) Ships in 10 - 15 working days

Bestselling trading author Guy Cohen introduces the OVI indicator to stock trading

More fortunes are made from trading stocks than any other financial instrument, and these windfalls are available to anyone who has access to the right information.

Presenting the methods used by the best traders in the market, "The Insider Edge: " "How to Follow the Insiders for Windfall Profits" uses options transaction data to reveal what "informed traders" are doing, and how anyone can take advantage of these techniques.

Whether the markets are choppy or trending, it always pays to wait for a clear opportunity. Any good trader knows that they need an Edge to excel, and this book demonstrates how the combination of specific chart patterns, author Guy Cohen's proprietary OVI indicator, and a robust trading plan, when combined, will deliver success.

In "The Insider Edge," Guy Cohen reveals: How you can profit from options without having to trade or even understand them Why the smart money often gravitates to the options markets. How options transactions can often reveal the direction of the stock price. How you can trade using information typically reserved for the pros. A trading plan the delivers maximum safety and windfall profits. How to use his proprietary OVI indicator online for free, so you can start to follow the insiders.

The author emphasises that "The Insider Edge" is for anyone who wants to trade stocks. No options knowledge is required to benefit from this book. His method involves observing what the smart options traders are doing, and then following them. This is what gives you "The Insider Edge."

Environmental, Social, and Governance (ESG) Investing - A Balanced Analysis of the Theory and Practice of a Sustainable... Environmental, Social, and Governance (ESG) Investing - A Balanced Analysis of the Theory and Practice of a Sustainable Portfolio (Paperback)
John Hill
R2,066 Discovery Miles 20 660 Ships in 10 - 15 working days

Environmental, Social, and Governance (ESG) Investing: A Balanced Analysis of the Theory and Practice of a Sustainable Portfolio presents a balanced, thorough analysis of ESG factors as they are incorporated into the investment process. An estimated 25% of all new investments are in ESG funds, with a global total of $23 trillion and the U.S. accounting for almost $9 trillion. Many advocate the sustainability goals promoted by ESG, while others prefer to maximize returns and spend their earnings on social causes. The core problem facing those who want to promote sustainability goals is to define sustainability investing and measure its returns. This book examines theories and their practical implications, illuminating issues that other books leave in the shadows.

Financial Literacy - Empowerment in the Stock Market (Hardcover, 1st ed. 2018): Ali Saeedi, Meysam Hamedi Financial Literacy - Empowerment in the Stock Market (Hardcover, 1st ed. 2018)
Ali Saeedi, Meysam Hamedi
R1,408 Discovery Miles 14 080 Ships in 18 - 22 working days

This book provides an overview of current issues associated to financial literacy improvement. In selecting and structuring the material to include, the primary criterion has been applicability of topics and recommendations and accuracy of trends toward better financial literacy level. Each chapter is dedicated to a particular component of financial literacy from education to capability. Throughout the book, there are many practices initiated around the world which, regardless of their superiority, are all useful initiatives and can roll play as a spot light in the road of improvement for both investors and authorities. This book is not only applicable for academics and students, but authorities who aim to improve financial literacy (and subsequently financial capability) among individuals and for those investors who seek to improve their own financial literacy.

The Trend Advisor Guide to Breakthrough Profits - A Proven System for Building Wealth in the Financial Markets (Hardcover): C... The Trend Advisor Guide to Breakthrough Profits - A Proven System for Building Wealth in the Financial Markets (Hardcover)
C Dukas
R1,109 R867 Discovery Miles 8 670 Save R242 (22%) Ships in 10 - 15 working days

This proven system will help you profit in any market environment while trading any financial instrument.

Whether you're a seasoned professional trader or newcomer to the world of investing, you must develop a defined methodology and consistently apply it to control risk, preserve capital, and harvest profits. Now, "The TRENDadvisor Guide to Breakthrough Profits" outlines an integrated approach to market analysis and a sound trading strategy, known as the "TREND"advisor Diamond Methodology, this book will assist traders and investors locate low-risk/high-reward trading opportunities.

Inner Voice of Trading, The - Eliminate the Noise, and Profit from the Strategies That Are Right for You (Paperback): Michael... Inner Voice of Trading, The - Eliminate the Noise, and Profit from the Strategies That Are Right for You (Paperback)
Michael Martin
R600 R541 Discovery Miles 5 410 Save R59 (10%) Ships in 5 - 10 working days

Want to be a successful trader? It's not enough to master generic trading strategies: you must first know yourself. You must understand your own emotional predilections and psychological tendencies. You must learn how to match your strategies to your own personality. You must choose strategies that are sustainable over the long haul, that you can tolerate-and execute. Michael Martin's The Inner Voice of Trading explains why deep self-knowledge is so crucial to successful trading, helps you gain that self-knowledge, and guides you in applying it. Drawing on interviews and discussions with great traders like Michael Marcus and Ed Seykota, he shows how to quiet your mind, develop an "inner voice" you can rely on, and make it your most important trading ally. As seen in Barron's, Minyanville.com and HuffingtonPost.com

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