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Run time: 90 min. Intra-day Trading with Market Internals Part I and II are videos that the intra-day trader should not be without. In these videos, you will learn the all the internals needed and how to interpret them to successfully know what the current market environment bias is and in turn guide you to what yours should be. Most traders base their bias on their hopes and wishes for price direction, which is a common reason for failure. In this video you will learn how to determine what sectors to focus on to find the stocks that are being accumulated that day. You will learn to use this information for Relative Strength and Weakness Analysis to zero in on the best stocks to trade. Of course, this does not occur throughout the trading day without pause, so it is essential to know what times of day the reversals are most like to occur based on prior history. All this is and more is covered in these two videos.
Run time: 90 min." Intra-day Trading with Market Internals Part I and II" are videos that the intra-day trader should not be without. In these videos, you will learn the all the internals needed and how to interpret them to successfully know what the current market environment bias is and in turn guide you to what yours should be. Most traders base their bias on their hopes and wishes for price direction, which is a common reason for failure. In this video you will learn how to determine what sectors to focus on to find the stocks that are being accumulated that day. You will learn to use this information for Relative Strength and Weakness Analysis to zero in on the best stocks to trade. Of course, this does not occur throughout the trading day without pause, so it is essential to know what times of day the reversals are most like to occur based on prior history. All this is and more is covered in these two streaming videos.
Run time: 90 min." Breadth and Sentiment Indicators for Winning Swing and Position Trading" will set you apart from those that are lost in the day-to-day news coming from the talking heads to make their swing and investment time decisions. If you want to learn what hedge funds, mutual funds and other big money intuitions are using for their market timing decisions these are the videos that will show you. In these videos, you will learn what breadth and sentiment indicators to use, how to construct them and put them together for a market timing method you will not learn anywhere else. Don t pass up this opportunity to put together the same method of recognizing market turning points that Greg has demonstrated over the years in his globally and widely followed Chart of the Week.
Run time: 90 min. Mastering" Candlestick Charts Parts I and II" take candlestick analysis beyond the typical known patterns and interpretation of them. Whether you are new to candles or a veteran user, these videos will take your understanding of candles to a level not possible with the prior educational material available. This is done by taking your use of candles into the minds of other traders. How? By showing you how to interpret candles as a visual representation of traders thought and expectations. While the basic information of candlestick names will be covered, you will quickly come to understand why they are not needed. Start thinking like a professional and profiting on your next trade after watching these videos.
Run time: 90 min." Sentiment Internal Indicators: Winning Swing & Position Trading" will set you apart from those that are lost in the day-to-day news coming from the talking heads to make their swing and investment time decisions. If you want to learn what hedge funds, mutual funds and other big money intuitions are using for their market timing decisions these are the DVDs that will show you. In these DVDs, you will learn what breadth and sentiment indicators to use, how to construct them and put them together for a market timing method you will not learn anywhere else. Don t pass up this opportunity to put together the same method of recognizing market turning points that Greg has demonstrated over the years in his globally and widely followed Chart of the Week.
Successfully Source, Negotiate, and Close Any Merger, Acquisition, or Joint Venture
"Making M&A Deals Happen" provides a practical businessperson's approach to making M&A deals that withstand the test of time. The book presents complete guidance on how to source, negotiate, and close mergers, acquisitions, and joint ventures, discussing each stage of the deal process and highlighting the critical elements, risks, and opportunities of each.
Bob Stefanowski, who has overseen more than $8.7 billion in M&A deals, equips readers with expert information on the M&A environment... developing a company strategy on M&A...financial modeling and final valuation...bidding strategies...structuring the deal...legal and regulatory issues...and much more.
Filled with easy-to-use tools, techniques, and resources, "Making M&A Deals Happen" features: Proven M&A strategies and tactics that increase value for the company In-depth case studies of Tyco, Conseco, and Time Warner, showing where firms have gone wrong_and how to avoid similar pitfalls Detailed negotiation do's and don'ts and troubleshooting techniques A wealth of tables, charts, and examples that illustrate key methods Sample due diligence audit programs and information requests
Based on a renowned course the author teaches at UPENN - Wharton "Making M&A Deals Happen" now offers a winning blueprint to all professionals actually involved in the M&A process_ whether in the planning, due diligence, or integration phases.
A practical guide to passive investing
Time and again, individual investors discover, all too late, that actively picking stocks is a loser's game. The alternative lies with index funds. This passive form of investing allows you to participate in the markets relatively cheaply while prospering all the more because the money saved on investment expenses stays in your pocket.
In his latest book, investment expert Richard Ferri shows you how easy and accessible index investing is. Along the way, he highlights how successful you can be by using this passive approach to allocate funds to stocks, bonds, and other prudent asset classes.Addresses the advantages of index funds over portfolios that are actively managedOffers insights on index-based funds that provide exposure to designated broad markets and don't make bets on individual securitiesFerri is also author of the Wiley title: "The ETF Book" and co-author of "The Bogleheads' Guide to Retirement Planning"
If you're looking for a productive investment approach that won't take all of your time to implement, then "The Power of Passive Investing" is the book you need to read.
Run time: 90 min. A reliable trading set-up can be worth a fortune in winning trades. In this new DVD course, Jeff Cooper, author of the bestselling Hit and Run books, hands over his seven most consistently profitable set-ups. With great detail, this course provides an explanation of each set-up and examples of the money making power in action.
You will: See how the symmetry of the market reveals the moves that are about to happen, and gives you the information to predict how big the move will beLearn how to recognize expansion patterns and contraction patterns and use them to take more wins out of the marketFind out which moving averages allow you to recognize a volatility pendulum -- a set-up that produces some of the most explosive movesWatch as the pieces of set-ups, like first turndowns and first pullbacks, come together to show both sharp upswings and quick drops before they happen
You won't get any hypothetical theory in this course, just real set-ups from a real trader that will position you to make real money again and again. Plus, Cooper walks you through his approach to using moving averages that has allowed him to make his living trading.
This collection of tactics balances the homerun big gain set-ups with the consistent, reliable set-ups to give you options that will work in a wide variety of market conditions. These proven technical patterns and powerful understanding of market behavior are ready to work for you.
Run time: 90 min. When you can start to understand the time effect on technical analysis, your consistency can become rock-solid and your money making potential can go through the roof. In this innovative DVD course, Jeff Greenblatt brings you new tactics to see the big moves before they happen, so you are ready to make big trades time after time again like a machine.
Greenblatt takes the subjective elements of traditional timing tools and replaces them with a high-precision pattern-recognition system to provide the most reliable signals. The technical cocktail of Fibonacci, a potent time methodology, and high-probability trading set-ups has produced amazing results and is laid out for you in this course so you can hit the ground running right away.
You will walk away from this course with: Confidence to use Lucas theory, Fibonacci time cycles and how to combine them with other strategies to accurately time the market, A clear set of rules for implementing this approach to optimize your return, Step-by-step instructions for using wave rotation as an accurate basis for pattern recognition, Effective tools for anticipating price action to be ready to act when the set-ups take shape, The ability to recognize all of the potential market timing pitfalls to protect your winnings.
The collection of set-ups included are design to give you tactics that take advantage of every element of the timing techniques as well as tactics that boil it all down into a simple approach to allow you to apply this strategy at your own pace. It all comes together in a course that allows you to start seeing the big market changes before they happen and puts you in the position to win big.
This is the essential, updated guide to profiting and hedging using the 'basis,' from two top authorities on futures research. Since it was first published in 1989, "The Treasury Bond Basis" has grown to become a mandatory reference book for every professional trader of treasury bond and note futures. An insightful analysis of the complex relationship between the cash market and futures market for treasury bonds and notes, its information and influence have helped thousands of hedgers, speculators, and arbitrageurs to understand and profit from that relationship.The third edition of this indispensable reference reflects numerous changes in the market in the decade since the second edition, including: updated explanations of valuing the short's delivery alternatives; new discussions of global bond futures trading and applications for portfolio managers; and, new illustrations, examples, and case studies covering every aspect of the bond basis. In the two decades-plus since the introduction of bond futures, fluctuations in the T-bond basis have supplied consistent opportunities for hedgers and traders. "The Treasury Bond Basis" explores in detail how those opportunities have changed, and provides trading professionals with the updated knowledge and techniques to profit from, and manage exposure to, constantly occurring interest rate fluctuations.Securities dealers and financial institutions that buy, sell, or hold Treasury bonds and notes invariably participate in the futures market. The key to effectively managing positions in both the futures and cash markets lies in understanding the nature of the price differential between the futures price and prices of the underlying issues. This differential is the 'basis'. "The Treasury Bond Basis, Third Edition" provides a comprehensive and up-to-date analysis of the relationship between these two markets.While the basic outline of "The Treasury Bond Basis" remains unchanged, this seminal book has been expanded, updated, and substantially rewritten to reflect how treasuries are traded today, including: basic tools needed for understanding the bond basis, from futures contract specifications to sources of profit in a basis trade; a complete description of the short's strategic delivery options and how they can be valued; and, best alternatives for hedging with treasury futures, including creating synthetic bonds, option-adjusted DV01s, and more. This title includes: a menu of basis trades, including selling expensive bases, buying cheap bases, buying or selling 'hot-run' bases, trading the calendar spread, and trading RP special effects; and, strategies for putting together volatility arbitrage trades when futures seem to be mispriced. Nine eras of the bond basis that have shaped both its pricing and the ways the contract is used. An introduction to key non-dollar futures contracts - how they are structured, how they relate to respective cash markets, and trading themes in European markets is presented.This book contains applications for using futures to manage duration and yield curve exposure and enhance returns on bond portfolios. Long valued as the essential reference on treasury futures, "The Treasury Bond Basis" continues to provide investment and risk managers, institutional investors, securities dealers, and arbitrageurs with a clear and concise framework of the concepts and mechanisms underlying the treasury bond basis.
Learn Principles of Selling YOUR Way with SELL! SELL's easy-reference, paperback textbook presents course content through visually-engaging chapters as well as Chapter Review Cards that consolidate the best review material into a ready-made study tool. With the textbook or on its own, SELL Online allows easy exploration of SELL anywhere, anytime - including on your device! Collect your notes and create StudyBits(TM) from interactive content as you go to remember what's important. Then, either use preset study resources, or personalize the product through easy-to-use tags and filters to prioritize your study time. Make and review flashcards, review related content, and track your progress with Concept Tracker, all in one place and at an affordable price!
"Finance and the Economics of Uncertainty "explores the growing
range of economic decisions that are conducted under uncertainty
both on the personal level, as well as by large firms.
Run time: 90 minutes. Unlike Swing Traders, who often hold positions for 2-5 days, astute Micro Traders jump on breakouts - as well as breakdowns - moving in and out of positions quickly each market day. They often find opportunity in 5 or 15-minute charts, taking frequent, bite-sized profits out of the market on a daily basis. This technique can be immensely rewarding - but it takes skill and training to survive such rapid-fire moves.
In this groundbreaking new course, Pristine.com's Oliver Velez presents powerful methods for mastering the fine art of Micro Trading with maximum precision. You'll discover: Micro Trading strategies that work in bull or bear marketsAll the tools you need to become a masterful micro traderHow to profit from the "market maker's lunch"What period of the market day provides the best risk/reward - and what times to avoid at all costTrade set-ups that make him "salivate"
Plus ...the Pristine Gap Plus Tactic, the Pristine 5 and 30-minute trading rules, the Pristine Late Day Breakout Strategy, and plenty of other trading tips you can't find anywhere else.
Throughout the industry, financial institutions seek to eliminate cumbersome authentication methods, such as PINs, passwords, and security questions, as these antiquated tactics prove increasingly weak. Thus, many organizations now aim to implement emerging technologies in an effort to validate identities with greater certainty. The near instantaneous nature of online banking, purchases, transactions, and payments puts tremendous pressure on banks to secure their operations and procedures. In order to reduce the risk of human error in financial domains, expert systems are seen to offer a great advantage in big data environments. Besides their efficiency in quantitative analysis such as profitability, banking management, and strategic financial planning, expert systems have successfully treated qualitative issues including financial analysis, investment advisories, and knowledge-based decision support systems. Due to the increase in financial applications' size, complexity, and number of components, it is no longer practical to anticipate and model all possible interactions and data processing in these applications using the traditional data processing model. The emergence of new research areas is clear evidence of the rise of new demands and requirements of modern real-life applications to be more intelligent. This book provides an exhaustive review of the roles of expert systems within the financial sector, with particular reference to big data environments. In addition, it offers a collection of high-quality research that addresses broad challenges in both theoretical and application aspects of intelligent and expert systems in finance. The book serves to aid the continued efforts of the application of intelligent systems that respond to the problem of big data processing in a smart banking and financial environment.
Von AfA bis Zweckbetrieb alles, was Sie fur die Vereinsbuchfuhrung wissen mussen Wie unterscheidet sich die Vermietung von Sportanlagen an Mitglieder von der an Nichtmitglieder? Wann muss ein gemeinnutziger Verein Steuern zahlen? Wer ehrenamtlich im Verein tatig ist, weiss, dass die Buchfuhrung fur Laien ganz schon kompliziert sein kann. Und Schatzmeister oder Kassenwarte sind eben meist keine Profis. Leicht verstandlich und anhand vieler Beispiele bringt Barbara Kern Licht ins Dunkel. Sie vermittelt Ihnen das Grundlagenwerkzeug und begleitet Sie dann in die Praxis der Vereinsbuchfuhrung. Sie erfahren alles uber die Zuordnung von Einnahmen und Ausgaben und das besondere Steuerrecht fur Vereine. So bleiben GoB, KSt, ErbSt, SchenkSt, GrdSt, USt und GewErtSt fur Sie kein Buch mit sieben Siegeln. Damit sind Sie bestens fur die Erstellung des Jahresabschlusses sowie der Rechenschaftsberichte fur die Mitgliederversammlung und das Finanzamt gerustet.
Demonetisation has come to describe in India one economic decision that shook a billion people from the very moment it was announced by Prime Minister Narendra Modi on 8th November 2016; from the manifestation shrouded in secrecy, the rationale, the aftermath, the short and the long term economic impact, the social and political fall-out, and much more. Endless animated discussions in virtually every kind of group at any kind of place, unending serpentine queues at banks and ATMs, continuous news headlines for days and weeks, countless speeches, reactions and counter-arguments, a stalled parliament-India's recent demonetisation has indeed unfolded at an unprecedented scale. Amidst the din and cacophony, it makes a lot of sense to make available to the reader, a bunch of authentic writings by noted economists/scholars, and policymakers on how they view demonetisation. Sure to enlighten, this reader friendly book edited by Uma Kapila serves to offer just that.
Run time: 90 min. What's the biggest mistake most option traders make? It's sticking to just one specific option trading strategy, regardless of the underlying asset, claims CBOE instructor and "Trading Index Options" author James Bittman. By contrast, the truly successful option traders pinpoint the most attractive underlying stock -- and then select an option strategy based on its precise characteristics.
Now, an in-depth new workshop from the "Trader's Hall of Fame" winner outlines precisely how to find the best stocks to use as a foundation for successful option trades -- and how to select the right strategies to trade them. From outright call & put purchases, to naked put sales, covered call positions, spreads or collars, Bittman provides step-by-step methods for choosing the right stocks and the perfect strategies for trading them - time after time. You'll even discover when outright purchase - or short sale - of a stock is really the best option of all.
Bittman's five-star presentation highlights: The difference between "trading" and "investing" with optionsThe psychology underlying long- and short-term stock-price movesAn ARMS-based trading strategy - identifying overbought & oversold conditionsThe importance of determining support & resistance levels for timing entry/ exit points.Charting tools that aide in selecting prime trading prospectsDeveloping discipline and a definitive exit plan - the true key to trading profits
"No strategy is the best in every situation, but one strategy is the best in any one given situation," Bittman says -- and in this outstanding presentation he shows you exactly how to isolate that strategy on your next options trade.
Run time: 120 minutes. MarketWise Trading School founder David Nassar is a trading maverick who entered the short-term trading arena years before it became standard practice. His best-selling How to Get Started in Electronic Day Trading book was one of the first short-term trading books. Now, he's put all his trading know-how into a 2-hour, power-packed presentation.
This course offers exciting and original new strategies for conquering any market climate. David debunks many of investing's most revered practices as "pure myth" when it comes to market success, explaining why those practices simply don't work in today's short-term markets - and why they're exactly what not to do. Instead, he shares his own proven methods with you.
He's one of the best trading instructors there is, because he's a real world trader. His entertaining workshop provides penetrating insight into: The 3 driving forces behind changing stock prices5 different "edges" to look for before entering any tradeThe key to profitability in trading: anticipate, don't just participateDebunking the "volume myth" - learning to recognize when trading action really drives the biggest price movesUnderstanding & employing the "Fibonacci sequences" and so much more
From the basics to advanced techniques, Nassar provides a virtual blueprint for anyone who hopes to profitably transition from long-term investor to short-term trader, while revealing concepts even seasoned traders will find refreshing. Clear, concise, and comprehensive - it's an amazing "5-star" rated workshop for traders of all levels.
Discover new and innovative techniques that fly in the face of accepted market wisdom as Marketwise Trading School founder David Nassar lays out a complete game plan for short-term trading success. This awesome 2-hour course is fast-paced, thorough and contains so many original new concepts that even the most seasoned pros are raving about it. Trading basics to advanced charting.
Reinforce, review, recap?anywhere you like. Study for Part 3 of the CIA Exam no matter where you are, with each of the three Focus Notes volumes. Wiley CIA Exam Review 2020 Focus Notes reviews important strategies, basic skills, and concepts?so you can pass the CIA Exam on your first try. Its portable, spiral-bound, flashcard format helps you study on the go with hundreds of outlines, summarized concepts, and techniques designed to hone your CIA Exam knowledge.
Long-established as a definitive resource by Wall Street professionals, "The Complete Guide to Option Pricing Formulas" has been revised and updated to reflect the realities of today's options markets. The Second Edition contains a complete listing of virtually every pricing formula_. all presented in an easy-to-use dictionary format, with expert author commentary and ready-to-use programming code. . .
The Second Edition of this classic guide now includes more than 60 new option models and formulasextensive tables providing an overview of all formulasnew examples and applicationsand an updated CD containing all pricing formulas, with VBA code and ready-to-use Excel spreadsheets. .
The volume also features several new chapters covering such things as: option sensitivities, discrete dividend, commodity options, and two chapters on numerical methods covering trees, finite difference and Monte Carlo Simulation.. .
The new edition of "The Complete Guide to Option Pricing Formulas" offers quick access to: . . Options Pricing Overview. Black-Scholes-Merton. Black-Scholes-Merton Greeks. Analytical Formulas for American Options. Exotic Options Single Asset. Exotic Options on Two Assets. Black-Scholes-Merton Adjustments and Alternatives. Trees and Finite Difference Methods. Monte Carlo Simulation. Options on Stocks that Pay Discrete Dividends. Commodity and Energy Options. Interest Rate Derivatives. Volatility and Correlation. Distributions. Some Useful Formulas: Interpolation, Interest Rates, . and Risk-Reward Measures. .
This all-in-one options pricing guide contains a numerical example or a table with values for each option pricing formula. The book also includes a helpfulglossary of notations, as well as an extensive bibliography of related books and articles.. .
The world has changed and so too has investing. The market is shell shocked and yesterday's momentum stocks are today's slow-motion stocks. But in the new reality of low-growth investing, commodities are hot and getting hotter. A rapidly industrializing and urbanizing Asia will be demanding lots more copper, zinc, iron ore, coal, fertilizers, gold and oil to transform their societies. Commodities are "it" and that's great news for investors who want to profit from the next great bull market in commodities. In fact, commodities may be about the only asset class that is likely to outperform the broad market in the future.
Although they are without a doubt important to the global economy, commodities are among the most misunderstood of all asset classes. Stocks, bonds and real estate all have legions of followers and plenty of experts agree on their importance within an investment portfolio, but venture into the world of commodities and you are into an area that's intimidating to the average investor, where suspicions run deep and understanding is limited. As a result, commodities get short-shrift in most investment accounts and investors miss out on some important opportunities.
"The Little Book of Commodity Investing" is an indispensible guide to learning the ins and outs of commodity investing. It's about identifying opportunities to profit from the coming bull market in commodities. It explains the benefits of commodities as part of a well diversified investment portfolio; covers all of the major commodities markets; what makes commodities and the companies that produce them tick; why commodities sometimes zig and then zag; what to buy and when to buy it; and why commodities are the next big thing.
Today's world is a very different world-a world where an understanding of commodities is a prerequisite for investment success. And "The Little Book of Commodity Investing" is the roadmap you need to discover where the opportunities of the future lie, and what to do about it.
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