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Books > Money & Finance > Investment & securities > Stocks & shares

Dynamic Hedging - Managing Vanilla and Exotic Options (Hardcover): Nassim Taleb Dynamic Hedging - Managing Vanilla and Exotic Options (Hardcover)
Nassim Taleb
R3,109 R2,226 Discovery Miles 22 260 Save R883 (28%) Ships in 12 - 19 working days

Dynamic Hedging is the definitive source on derivatives risk. It provides a real-world methodology for managing portfolios containing any nonlinear security. It presents risks from the vantage point of the option market maker and arbitrage operator. The only book about derivatives risk written by an experienced trader with theoretical training, it remolds option theory to fit the practitioner's environment. As a larger share of market exposure cannot be properly captured by mathematical models, noted option arbitrageur Nassim Taleb uniquely covers both on-model and off-model derivatives risks.

The author discusses, in plain English, vital issues, including:

  • The generalized option, which encompasses all instruments with convex payoff, including a trader's potential bonus.
  • The techniques for trading exotic options, including binary, barrier, multiasset, and Asian options, as well as methods to take into account the wrinkles of actual, non-bellshaped distributions.
  • Market dynamics viewed from the practitioner's vantage point, including liquidity holes, portfolio insurance, squeezes, fat tails, volatility surface, GARCH, curve evolution, static option replication, correlation instability, Pareto-Levy, regime shifts, autocorrelation of price changes, and the severe flaws in the value at risk method.
  • New tools to detect risks, such as higher moment analysis, topography exposure, and nonparametric techniques.
  • The path dependence of all options hedged dynamically

Dynamic Hedging is replete with helpful tools, market anecdotes, at-a-glance risk management rules distilling years of market lore, and important definitions. The book contains modules in which the fundamental mathematics of derivatives, such as the Brownian motion, Ito's lemma, the numeraire paradox, the Girsanov change of measure, and the Feynman-Kac solution are presented in intuitive practitioner's language.

Dynamic Hedging is an indispensable and definitive reference for market makers, academics, finance students, risk managers, and regulators.

The definitive book on options trading and risk management

"If pricing is a science and hedging is an art, Taleb is a virtuoso." —Bruno Dupire, Head of Swaps and Options Research, Paribas Capital Markets

"This is not merely the best book on how options trade, it is the only book." —Stan Jonas, Managing Director, FIMAT-Société Générale

"Dynamic Hedging bridges the gap between what the best traders know and what the best scholars can prove." —William Margrabe, President, The William Margrabe Group, Inc.

"The most comprehensive, insightful, intuitive work on the subject. It is instrumental for both beginning and experienced traders."—

"A tour de force. That rare find, a book of great practical and theoretical value. Taleb successfully bridges the gap between the academic and the real world. Interesting, provocative, well written. Each chapter worth a fortune to any current or prospective derivatives trader."—Victor Niederhoffer, Chairman, Niederhoffer Investments

Retail Investor in Focus - The Indian IPO Experience (Hardcover, 1st ed. 2019): Parimala Veluvali Retail Investor in Focus - The Indian IPO Experience (Hardcover, 1st ed. 2019)
Parimala Veluvali
R2,873 Discovery Miles 28 730 Ships in 10 - 15 working days

This book focuses on the regulatory aspect of retail investor protection in the context of Initial Public Offerings (IPOs) in the Indian securities market. The book captures the salient policy changes that have transformed the IPO markets in India from their rudimentary structure at their present advanced structure. While primary markets reforms in India have been an ongoing endeavor, there has been a renewed emphasis in the recent past on reforming the market keeping the retail investors in focus. Greater retail participation is the intended objective of the reforms agenda. The book assesses retail participation in all the IPOs that have been floated between the period 2012-2017 in terms of their subscriptions, size of investment and quantum of applications. The book also provides a concise overview of the significant legislative developments that have been enacted keeping the retail investor in focus.

Stock Market Wizards - Interviews With America's Top Stock Traders (Paperback, 1st HarperBusiness paperback ed): Jack D.... Stock Market Wizards - Interviews With America's Top Stock Traders (Paperback, 1st HarperBusiness paperback ed)
Jack D. Schwager
R420 R375 Discovery Miles 3 750 Save R45 (11%) Ships in 5 - 10 working days

AVERAGE ANNUAL RETURNS OF 70% ... 90% ... 220%! FIND OUT HOW THE WIZARDS OUTPERFORM THE MARKET

Can you beat the market year after year and largely sidestep periodic downturns? What separates the country's best investors from the ordinary? What lessons can the small investor learn from modern stock market wizards?

Acclaimed trading expert Jack Schwager went to thirteen phenomenally successful traders for answers, including Mark Minervini, a junior high school dropout, who has averaged a 220 percent annual return during the past five years, while keeping his maximum quarterly loss to a fraction of one percent; Mark Cook, a Midwestern farmer who registered back-to-back annual gains of 563 and 322 percent in national trading contests; and Steve Lescarbeau, whose computerized trading model earns him an average of 70 percent per year with an incredibly low drawdown of only 3 percent.

In lively interviews with his all-star lineup, Schwager brings you true stories, eye-opening tips, and the inside scoop on how to ride the bull, battle the bear, and still come out on top. And in a final wrap-up Schwager lays out 64 market lessons that provide invaluable insights for average investors and market professionals alike.

Chinese Companies and the Hong Kong Stock Market (Hardcover, New): Flora Xiao Huang, Horace Yeung Chinese Companies and the Hong Kong Stock Market (Hardcover, New)
Flora Xiao Huang, Horace Yeung
R4,637 Discovery Miles 46 370 Ships in 12 - 19 working days

Listing by companies from one country on the stock market of another country is a device often used both to raise capital in, and to increase bonding with, the target country. This book examines the listing by Chinese companies on the Hong Kong stock market. It discusses the extent of the phenomenon, compares the two different regulatory regimes, and explores the motivations for the cross-listing. It argues that a key factor, in addition to raising capital and bonding with the Hong Kong market, is Chinese companies' desire to encourage legal and regulatory reforms along Hong Kong lines in mainland China, in order to develop and open up China's domestic capital markets.

High-Profit IPO Strategies 3e - Finding Breakout IPOs for Investors and Traders (Hardcover, 3rd Edition): T. Taulli High-Profit IPO Strategies 3e - Finding Breakout IPOs for Investors and Traders (Hardcover, 3rd Edition)
T. Taulli
R1,406 R1,077 Discovery Miles 10 770 Save R329 (23%) Ships in 12 - 19 working days

A detailed guide to the new era of IPO investing

Typically generating a great deal of interest, excitement, and volatility, initial public offerings (IPOs) offer investors and traders with opportunities for both short-term and long-term profits. In the "Third Edition" of "High-Profit IPO Strategies," IPO expert Tom Taulli explains all facets of IPO investing and trading, with a particular emphasis on the industries that are fueling the next generation of IPOs, from social networking and cloud computing to mobile technology.

In the past year alone, many of these types of IPOs have provided enormous opportunities for nimble traders as prices have fluctuated widely for several months following the offering. This new edition reflects the new IPO environment and presents you with the insights needed to excel in such a dynamic arena.Discusses more sophisticated IPO trading strategies, explores the intricacies of the IPO process, and examines the importance of focused financial statement analysisContains new chapters on secondary IPO markets, reverse mergers, and master limited partnershipsProvides in-depth analysis of other major industries generating worthwhile IPOsCovers IPO investing from basic terms to advanced investing techniques

Comprehensive in scope, the "Third Edition" of "High-Profit IPO Strategies" offers investors and traders with actionable information to profit in this lucrative sector of the financial market.

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
R1,697 R1,283 Discovery Miles 12 830 Save R414 (24%) Ships in 12 - 19 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.

Trading Classic Chart Patterns (Hardcover): Thomas Bulkowski Trading Classic Chart Patterns (Hardcover)
Thomas Bulkowski 1
R2,662 R2,049 Discovery Miles 20 490 Save R613 (23%) Ships in 12 - 19 working days

A practical solution for profitably using popular chart patterns

In his follow-up to the well-received Encyclopedia of Chart Patterns, Thomas Bulkowski gives you a practical game plan to capitalize on established chart patterns. Written for the novice investor but with techniques for the professional, Trading Classic Chart Patterns includes easy-to-use performance tables, vivid case studies, and a scoring system that makes trading chart patterns simple. This comprehensive guide skillfully gives you straightforward solutions to profitably implementing chart patterns.

"No one–not even the pioneers of technical analysis like Dow, Schabacker, Edwards, and Magee–has ever published such in-depth and objective research on chart patterns as Thomas Bulkowski has in his Encyclopedia of Chart Patterns and his new book, Trading Classic Chart Patterns. Bulkowski sees farther, not only because he stands on the shoulders of those giants, but also because he has the creativity necessary to develop new methods of quantifying the performance of chart patterns and the tenacity required to carry out the laborious research. Highly recommended!"
–Thomas A. Bierovic, author, Playing for Keeps in Stocks & Futures: Three Top Trading Strategies That Consistently Beat the Markets

Trading Classic Chart Patterns also serves as a handy reference guide for favorite chart patterns, including broadening tops, head-and-shoulders, rectangles, triangles, and bottoms. Filled with numerous techniques, strategies, and insights, Trading Classic Chart Patterns fits perfectly into any pattern trader’s arsenal.

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
R569 Discovery Miles 5 690 Ships in 12 - 19 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

Bulletproof Trader - Evidence-based strategies for overcoming setbacks and sustaining high performance in the markets... Bulletproof Trader - Evidence-based strategies for overcoming setbacks and sustaining high performance in the markets (Paperback)
Steve Ward
R1,072 R893 Discovery Miles 8 930 Save R179 (17%) Ships in 9 - 17 working days

Trading can be intensely rewarding. But it is also one of the most mentally and emotionally challenging activities anyone can pursue. As in other high-performance domains, those who are serious about mastering their craft and staying in the game spend serious time working on their game, including training their mind and body. Steve Ward has spent the last 15 years working as a performance coach with financial traders and investors at some of the biggest and most successful investment banks, hedge funds, asset managers, commodities trading houses and proprietary trading groups across the globe, helping them to perform at their best, to navigate the highs and lows of trading and investing in the markets, and to sustain high performance for the long run. As one hedge fund client put it to him, "It's about becoming bulletproof". Becoming a bulletproof trader is forged over time through experience, and by applying the latest insights from biological and psychological sciences, the best that practical philosophy can teach us, and a healthy dose of pragmatism - doing what actually works in the real world of trading the markets. This book brings together all of Steve's latest insights into how to deal with stresses and setbacks and sustain high performance in a comprehensive, accessible and unmissable book, so that you too can become a bulletproof trader. Don't trade without it.

Wall Street on Trial - A Corrupted State? (Hardcover): Justin O'Brien Wall Street on Trial - A Corrupted State? (Hardcover)
Justin O'Brien
R1,198 R935 Discovery Miles 9 350 Save R263 (22%) Ships in 12 - 19 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
R4,184 Discovery Miles 41 840 Ships in 12 - 19 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.

Finding #1 Stocks - Screening, Backtesting and Time-Proven Strategies (Hardcover): K Matras Finding #1 Stocks - Screening, Backtesting and Time-Proven Strategies (Hardcover)
K Matras
R1,135 R888 Discovery Miles 8 880 Save R247 (22%) Ships in 12 - 19 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.

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
R1,956 R1,750 Discovery Miles 17 500 Save R206 (11%) Ships in 12 - 19 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.

Trading Options at Expiration - Strategies and Models for Winning the Endgame (Paperback): Jeff Augen Trading Options at Expiration - Strategies and Models for Winning the Endgame (Paperback)
Jeff Augen
R709 Discovery Miles 7 090 Ships in 12 - 19 working days

Equity and index options expire on the third Friday of each month. As that moment approaches, unusual market forces create option price distortions, rarely understood by most investors. These distortions give rise to outstanding trading opportunities with enormous profit potential. In Trading Options at Expiration: Strategies and Models for Winning the Endgame, leading options trader Jeff Augen explores this extraordinary opportunity with never-before published statistical models, minute-by-minute pricing analysis, and optimized trading strategies that regularly deliver returns of 40%-300% per trade. You'll learn how to structure positions that profit from end-of-contract price distortions with remarkably low risk. These strategies don't rely on your ability to pick stocks or predict market direction and they only require one or two days of market exposure per month. Augen also discusses: * Three powerful end-of-cycle effects not comprehended by contemporary pricing models * Trading only one or two days each month and avoiding overnight exposure * Leveraging the surprising power of expiration-day pricing dynamics If you're looking for an innovative new way to reignite your returns no matter where the markets move, you've found it in Trading Options at Expiration. "Learn and profit from Jeff Augen's book: It clearly explains how to take advantage of market inefficiencies in collapsing implied volatility, effects of strike price, and time decay. A must-read for individuals who are options oriented." --Ralph J. Acampora, CMT, Director of Technical Analysis Studies, New York Institute of Finance "A fantastic, insightful book full of meticulously compiled statistics about anomalies that surround option expiration. Not only does Augen present a set of effective trading strategies to capitalize on these anomalies, he walks through the performance of each across several expirations. His advice is practical and readily applicable: He outlines common pitfalls, gives guidance on timing your executions, and even includes code that can be used to perform the same calculations he does in the text. A thoroughly enjoyable read that will give you a true edge in your option trading." --Alexis Goldstein, Vice President, Equity Derivatives Business Analyst "Mr. Augen makes a careful and systematic study of option prices at expiration. His translation of price behavior into trading strategy is intriguing work, and the level of detail is impressive." --Dr. Robert Jennings, Professor of Finance, Indiana University Kelly School of Business "This book fills a gap in the vast amount of literature on derivatives trading and stands out for being extremely well written, clear, concise, and very low on jargon--perfect for traders looking to evolve their equity option strategies." --Nazzaro Angelini, Principal, Spearpoint Capital "Instead of considering macro-time strategies that take weeks to unfold, Jeff Augen is thinking micro here--hours or days--specifically the days or hours right before expiration, and harnessing grinding, remorseless options decay for profit. He builds a compelling case for the strategy here. The concept of using ratio spreads plus risk management for as brief a period as one day--open to close--to capture expiring premium is worth the price of admission alone. A superb follow-up to his first book. Must-read for the serious options student." --John A. Sarkett, Option Wizard software

Smarter Acquisitions - Ten steps to successful deals (Paperback): Andrew Campbell, David Sadtler, David Smith Smarter Acquisitions - Ten steps to successful deals (Paperback)
Andrew Campbell, David Sadtler, David Smith
R1,407 Discovery Miles 14 070 Ships in 12 - 19 working days

Acquisitions have a poor record of creating value for shareholders. Studies have shown that as many as 70% of mergers and acquisitions fail to meet their objectives. Some even bankrupt the acquiring company. Why is this? Managers often have too little experience with the acquisition process or make acquisitions for the wrong reasons. Smarter Acquisitions will make sure you are part of the 30% that get it right. By following ten key steps you can ensure that you get real value from your acquisitions. It covers the entire acquisition process, from identifying targets through to integrating the new company, providing you with the knowledge you need to lead an acquisition or to participate at any stage. Private equity is now a massive force in the marketplace This book gives you an overview of this recently emerging phenomenon and will help you explore when you could profitably incorporate this option into your acquisitions strategy.

Reminiscences of a Stock Operator - Illustrated Edition (Hardcover, Illustrated ed): E. Lefevre Reminiscences of a Stock Operator - Illustrated Edition (Hardcover, Illustrated ed)
E. Lefevre
R671 R600 Discovery Miles 6 000 Save R71 (11%) Ships in 12 - 19 working days

Unknown to most modern-day investors and traders who cherish Reminiscences of a Stock Operator as one of the most important investment books ever written, the material first appeared in the 1920s as a series of articles and illustrations in the Saturday Evening Post. Now, for the first time ever, this beloved classic is being made available in its original, illustrated format.

You'll track the exploits of Jesse Livermore as he won and lost tens of millions of dollars playing the stock and commodities markets during the early 1900s. At one point, he made the then astronomical sum of 10 million dollars in just one month of trading

Originally published as a fictionalized account, the Illustrated Edition combines the Saturday Evening Post's memorable illustrations with Edwin LeFevre's timeless investment advice, recreating the look, feel, and message that was first published more than 80 years ago. Among the most compelling and enduring pieces ever written on trading, the new Illustrated Edition brings this story to life like never before. Order your copy today.

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
R2,053 R1,531 Discovery Miles 15 310 Save R522 (25%) Ships in 12 - 19 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.

Handbook of the Equity Risk Premium (Hardcover): Rajnish Mehra Handbook of the Equity Risk Premium (Hardcover)
Rajnish Mehra; Edited by (board members) Kenneth J. Arrow, G. Constantinides, H.M Markowitz, R.C. Merton, …
R1,153 Discovery Miles 11 530 Ships in 2 - 4 working days

Edited by Rajnish Mehra, this volume focuses on the equity risk premium puzzle, a term coined by Mehra and Prescott in 1985 which encompasses a number of empirical regularities in the prices of capital assets that are at odds with the predictions of standard economic theory.

Charting Secrets - Trade Like A Machine And Finally Beat The Markets Using These Bulletproof Strategies Revised Edition... Charting Secrets - Trade Like A Machine And Finally Beat The Markets Using These Bulletproof Strategies Revised Edition (Paperback, 2nd Edition)
L Bedford
R638 R542 Discovery Miles 5 420 Save R96 (15%) Ships in 12 - 19 working days

A leading Australian trader shows you how to succeed on the sharemarket with proven charting techniques

Now completely revised with the latest trading information, this revised edition of bestselling author Louise Bedford's "Charting Secrets" is the perfect guide for beginners and experienced traders and chartists alike. Unlike other books on trading, you'll find no get-rich-quick schemes here. Bedford believes that successful trading is a matter of study and hard work, just like any other job. With this in mind, "Charting Secrets" serves as a workbook that will have you practising what you read and mastering charting techniques as you go. The book begins with explanations of charting patterns and methods and includes sample charts for you to practise on, as well as step-by-step solutions that allow you to compare your results to hers.Features practical charting advice and sample charts that let readers learn techniques as they readCovers charting basics, as well as candlestick charting and system development, macro reversal and continuation patterns, trading psychology, and much moreWritten by a bestselling author known as one of Australia's most compelling speakers on trading

Whether you're new to the trading game or an experienced trader looking to polish your charting techniques, "Charting Secrets" will show you how to turn potential into profit.

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
R909 Discovery Miles 9 090 Ships in 12 - 19 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

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
R2,413 R2,193 Discovery Miles 21 930 Save R220 (9%) Ships in 12 - 19 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.

Accounting for Derivatives - Advanced Hedging under IFRS 9 2e (Hardcover, 2nd Edition): J.J. Ramirez Accounting for Derivatives - Advanced Hedging under IFRS 9 2e (Hardcover, 2nd Edition)
J.J. Ramirez
R2,230 Discovery Miles 22 300 Ships in 12 - 19 working days

The derivative practitioner s expert guide to IFRS 9 application Accounting for Derivatives explains the likely accounting implications of a proposed transaction on derivatives strategy, in alignment with the IFRS 9 standards. Written by a Big Four advisor, this book shares the author s insights from working with companies to minimise the earnings volatility impact of hedging with derivatives. This second edition includes new chapters on hedging inflation risk and stock options, with new cases on special hedging situations including hedging components of commodity risk. This new edition also covers the accounting treatment of special derivatives situations, such as raising financing through commodity-linked loans, derivatives on own shares and convertible bonds. Cases are used extensively throughout the book, simulating a specific hedging strategy from its inception to maturity following a common pattern. Coverage includes instruments such as forwards, swaps, cross-currency swaps, and combinations of standard options, plus more complex derivatives like knock-in forwards, KIKO forwards, range accruals, and swaps in arrears. Under IFRS, derivatives that do not qualify for hedge accounting may significantly increase earnings volatility. Compliant application of hedge accounting requires expertise across both the standards and markets, with an appropriate balance between derivatives expertise and accounting knowledge. This book helps bridge the divide, providing comprehensive IFRS coverage from a practical perspective. * Become familiar with the most common hedging instruments from an IFRS 9 perspective * Examine FX risk and hedging of dividends, earnings, and net assets of foreign subsidies * Learn new standards surrounding the hedge of commodities, equity, inflation, and foreign and domestic liabilities * Challenge the qualification for hedge accounting as the ultimate objective IFRS 9 is set to replace IAS 39, and many practitioners will need to adjust their accounting policies and hedging strategies to conform to the new standard. Accounting for Derivatives is the only book to cover IFRS 9 specifically for the derivatives practitioner, with expert guidance and practical advice.

John D. Rockefeller on Making Money - Advice and Words of Wisdom on Building and Sharing Wealth (Hardcover): John D. Rockefeller John D. Rockefeller on Making Money - Advice and Words of Wisdom on Building and Sharing Wealth (Hardcover)
John D. Rockefeller
R257 Discovery Miles 2 570 Ships in 10 - 15 working days

Advice and words of wisdom from the greatest American businessman and philanthropist. John D. Rockefeller is considered to be the wealthiest man to have ever lived, after adjusting for inflation. An American businessman who made his wealth as a cofounder and leading figure of the Standard Oil Company, he also had a pivotal role in creating our modern system of philanthropy. Collected in John D. Rockefeller on Making Money are the words from the man himself, offering advice on how to successfully start and manage a booming business, as well as the most efficient ways to preserve your wealth once you have acquired it. These quotes also cover: Happiness in the face of great wealth Money and its effects Thoughts on facing public criticism Thoughts on big business in the USA Included are John D. Rockefeller's thoughts on the most sage and conscientious manner of distributing and sharing your wealth when your wealth is overflowing. Finally, we get a glimpse into Rockefeller's life with the inclusion of some of his most personal correspondence.

Applying Elliott Wave Theory Profitably (Hardcover, New): SW Poser Applying Elliott Wave Theory Profitably (Hardcover, New)
SW Poser
R2,508 R1,987 Discovery Miles 19 870 Save R521 (21%) Ships in 10 - 15 working days

"I have always found Elliott Wave difficult to understand and more difficult to apply, but finally Steve Poser has written a book that makes sense and is born from real experience. This is not Elliott made easy but Elliott that makes sense. Hats off to Poser for creating the book the marketplace has needed for so long."
–Bruce M. Kamich, CMT
Adjunct Professor of Finance at Baruch College and Rutgers University
Past President of the Market Technicians Association

"Steve Poser is one of the few people I’ve met who can integrate Elliott Wave analysis into a normal conversation on the markets and make sense."
–Michael Kahn
Editor, Quick Takes Pro technical newsletter
Technical Analysis Columnist, Barron’s Online

Numerous books have tried to capture the essence of Elliott Wave theory, but they either made Elliott more complicated than it needed to be, or, in an effort to overcome the perceived complexity of analysis using Elliott, oversimplified the process.

In Applying Elliott Wave Theory Profitably, author and Elliott Wave expert Steven Poser takes a fresh approach to this proven trading strategy, giving you the most well-rounded and straightforward lesson on how to make money using Elliott Wave theory. Drawing from his many years of Elliott Wave experience, Poser:

  • Explores how and why technical analysis works, and shows you where Elliott Wave theory fits into that picture
  • Reveals each of the basic and advanced patterns that the market might trace out and discusses the market conditions that typically produce these patterns
  • Outlines how to build an efficient trading plan
  • Illustrates how to continuously update your plan in real time as the market provides you with further information by way of a constant stream of prices, volume, and news
  • Examines how to review the market from multiple time frames, so you know what degree of price retracements to expect, as well as what your risks and rewards may be

Written in a clear, easy-to-understand manner, Applying Elliott Wave Theory Profitably is a thorough and essential resource for any trader looking to better understand a proven trading strategy and boost their bottom line.

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
R536 R458 Discovery Miles 4 580 Save R78 (15%) Ships in 12 - 19 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.

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