This book is a sequel to "THE VALUE AND MOMENTUM TRADER: Dynamic Stock Selection Models to Beat the Market" published by Wiley & Sons in 2010. It provides in-depth disclosure of information gathered subsequent to the earlier book. In it the author provides detailed instructions on how to create mathematical trading models for the ranking of stocks for purchase and sale. These tried and tested trading systems capitalize on both technical and fundamental market anomalies and have been found to be effective in both bull and bear market conditions. The book provides a wealth of information on appropriate use of Excel spreadsheets, selection of the best variables for ranking stocks, trading strategies, and timing methods. Actual formulas, tables, and figures are given. Lists of recommended readings and useful websites are provided. Clear guidelines are given for further research. Although clearly written, the book is so concise that its size is no indication of the vast amount of information provided. It has taken the author five years to compile and present the present work and to test it in daily trading experience.
Les informations fournies dans la section « Synopsis » peuvent faire référence à une autre édition de ce titre.
The author holds a PhD in Educational Psychology from UCLA and has over 20 years experience in the trading of equities, commodities, and derivatives. He has published several books and numerous research articles in the areas of psychometrics, trading and world history. He has served as university professor for more than 25 years. He has traveled to over 50 countries in the capacities of conference speaker, consultant, and missionary educator. He currently resides with his family in the mountains of South Carolina, where he is active in hiking, gardening, teaching, trading, and writing.
Les informations fournies dans la section « A propos du livre » peuvent faire référence à une autre édition de ce titre.
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Paperback. Etat : new. Paperback. This book is a sequel to "THE VALUE AND MOMENTUM TRADER: Dynamic Stock Selection Models to Beat the Market" published by Wiley & Sons in 2010. It provides in-depth disclosure of information gathered subsequent to the earlier book. In it the author provides detailed instructions on how to create mathematical trading models for the ranking of stocks for purchase and sale. These tried and tested trading systems capitalize on both technical and fundamental market anomalies and have been found to be effective in both bull and bear market conditions. The book provides a wealth of information on appropriate use of Excel spreadsheets, selection of the best variables for ranking stocks, trading strategies, and timing methods. Actual formulas, tables, and figures are given. Lists of recommended readings and useful websites are provided. Clear guidelines are given for further research. Although clearly written, the book is so concise that its size is no indication of the vast amount of information provided. It has taken the author five years to compile and present the present work and to test it in daily trading experience. This item is printed on demand. Shipping may be from our UK warehouse or from our Australian or US warehouses, depending on stock availability. N° de réf. du vendeur 9781517283261
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