Bulls, Bears, and Brains

Bulls, Bears, and Brains

Author: Adam Leitzes

Publisher: Wiley

Published: 2002-01-18

Total Pages: 336

ISBN-13: 9780471442943

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Take an interactive journey that will introduce you to some of the world's most talented and successful investors. Bulls, Bears and Brains: Investing with the Best and Brightest of the Financial Internet interviews twenty successful investors-an assortment of fund managers, economists, professors, executives, statisticians, strategists, traders and technicians who put their money and prowess on the line in the pages of this text. These top financial minds have made themselves available to the investing public via the Internet, and are willing to share their strategies, successes, failures, and philosophies in open online forums. This unique book will help you connect and make money with them, giving you twenty powerful allies in the complicated game of investing. The book includes candid interviews with company founders and expert advisors, such as: * Don Luskin: The Luskin Report. Ex-CEO of Barclays Global Mutual Funds * Ed Yardeni: Yardeni.com. Chief Investment Strategist at Deutsche Banc Alex. Brown * Kris Skrinak: ClearStation. Co-founder of E*TRADE's community investment site * Jeremy Siegel: JeremySiegel.com. Wharton professor of finance and bestselling author * Brandon Goyette: ActiveTrader. Hedge fund manager and ex-Wall Street analyst * Aaron Brown: eRaider. Yeshiva University professor of finance and prominent shareholder activist * David Gardner: Fool.com. Bestselling investment author and co-founder of The Motley Fool * Bill Ginsberg: Shortboy.com. Columbia Business School dropout and "the baddest short-seller on the planet" This book will help you interpret these individuals' theories in light of your personal investment needs and develop your own investment strategy with a top-notch team that never leaves your side. Don't rely on market pundits and analysts to shape your investing strategies. Instead, make use of the global research team that the Internet places at your fingertips to identify profitable opportunities long before the rest of the world takes notice. Bulls, Bears and Brains will guide you to the virtual doorstep of the most valuable information available on the Internet and provide you with the background and theories to interpret this information in the correct context once you arrive.


Bulls, Bears and Other Beasts (5th Anniversary Edition)

Bulls, Bears and Other Beasts (5th Anniversary Edition)

Author: Santosh Nair

Publisher: Pan Macmillan

Published: 2021-11-26

Total Pages: 424

ISBN-13: 9390742579

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Insightful, interesting and a lot of fun' Ravi Subramanian 'An honest and extremely detailed recounting of the evolution of the market’ BusinessLine 'A delightful book on the stock markets’ Free Press Journal A rip-roaring history of the Indian stock market post liberalization. The wise and wily Lalchand Gupta takes you on an exciting journey through Dalal Street in this comprehensive history of the stock market since 1991. From tech booms and tax evasion to banks and money laundering; scams and crashes to fixers and investors, Lala has seen it all. Bringing the story up to the present, this special fifth anniversary edition also makes keen observations about the developments on the trading floor of the Bombay Stock Exchange in more recent times and doles out smart investing hacks in Lala’s inimitable style. Bulls, Bears and Other Beasts is a must-read for anyone interested in the financial health of the country as well as those who want to know about the sensational events that led up to the far more sterile stock-market operations of the present day.


Option Trading Tactics

Option Trading Tactics

Author: Oliver L. Velez

Publisher: John Wiley & Sons

Published: 2012-09-27

Total Pages: 108

ISBN-13: 1118538722

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As CEO of Velez Capital Management, and cofounder of Pristine.com, Oliver Velez has dedicated his life to spreading the message that you, too, can make a living as a trader. Traders often attend his educational seminars multiple times in order to take-in the vast amount of information this legendary trader discloses. We've found that the combination of written word and visual presentation is the best way for you to master a subject. That's why this unique DVD/Course Book package is the perfect way to maximize your trading skills. It includes a full-length DVD of Velez's famed Options Trading Seminar, as well as a Course Book, where every ounce of information from the lecture has been translated into an easy-to-read, classic textbook form. You also get access to online self tests to make sure you absorb every bit of valuable information. Master the exciting, profitable niche of options trading. With this course, you'll learn: Option Trading Tactics: See how Velez uses various strategies to maximize returns, minimize risk, hedge, and speculate. Predict Price Movement Accurately: Know what stocks may do in the upcoming days and weeks. This is they only way you will make money in options. Market Analysis Strategies: Velez will show you why technical analysis is the key to options success and how to use this knowledge to take advantage of marketplace imperfections. A New Approach to Trading Psychology and Discipline: Discover the Pristine Method of "core trading" and Velez's ground breaking explanation of how the stock market works today. Develop Your Own Strategy: Create then follow a strict trading plan-one that will allow you to play the market without burning through cash! Use Option Trading Tactics Course Book, and, within no time, you'll be a more confident and profitable options trader than you ever thought possible.


Red-Blooded Risk

Red-Blooded Risk

Author: Aaron Brown

Publisher: John Wiley & Sons

Published: 2011-09-09

Total Pages: 437

ISBN-13: 1118140176

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An innovative guide that identifies what distinguishes the best financial risk takers from the rest From 1987 to 1992, a small group of Wall Street quants invented an entirely new way of managing risk to maximize success: risk management for risk-takers. This is the secret that lets tiny quantitative edges create hedge fund billionaires, and defines the powerful modern global derivatives economy. The same practical techniques are still used today by risk-takers in finance as well as many other fields. Red-Blooded Risk examines this approach and offers valuable advice for the calculated risk-takers who need precise quantitative guidance that will help separate them from the rest of the pack. While most commentators say that the last financial crisis proved it's time to follow risk-minimizing techniques, they're wrong. The only way to succeed at anything is to manage true risk, which includes the chance of loss. Red-Blooded Risk presents specific, actionable strategies that will allow you to be a practical risk-taker in even the most dynamic markets. Contains a secret history of Wall Street, the parts all the other books leave out Includes an intellectually rigorous narrative addressing what it takes to really make it in any risky activity, on or off Wall Street Addresses essential issues ranging from the way you think about chance to economics, politics, finance, and life Written by Aaron Brown, one of the most calculated and successful risk takers in the world of finance, who was an active participant in the creation of modern risk management and had a front-row seat to the last meltdown Written in an engaging but rigorous style, with no equations Contains illustrations and graphic narrative by renowned manga artist Eric Kim There are people who disapprove of every risk before the fact, but never stop anyone from doing anything dangerous because they want to take credit for any success. The recent financial crisis has swelled their ranks, but in learning how to break free of these people, you'll discover how taking on the right risk can open the door to the most profitable opportunities.


Julian Robertson

Julian Robertson

Author: Daniel A. Strachman

Publisher: John Wiley & Sons

Published: 2004-10-20

Total Pages: 290

ISBN-13: 0471687421

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Julian Robertson is one of the most successful and well-known hedge fund managers of our time. For nearly twenty years his infamous fund--Tiger Management--was the talk of the town, routinely delivering double-digit performance. This biography will explore this legendary fund manager's role in the development and popularity of hedge funds, examine his investment methodology and strategy, and look at the growth of his fund and his 'Tigers'--individuals who have gone on to great success themselves. * Includes candid interviews of Robertson, his colleagues, and his peers * Uncovers the trading strategies and investment style of a legendary fund manager * Offers a rare glimpse inside the personal world of Julian Robertson READERSHIP: Those with any interest in or knowledge of hedge funds, business readers, investment professionals. Daniel A. Strachman is Managing Director of Answers Company, a New York-based money management firm that offers investment management services to individuals and institutions. He has contributed many articles on investment management and strategies to publications including the New York Post and the Financial Times and is also the author of Getting Started in Hedge Funds (Wiley 2000). Also available by Daniel Strachman, Getting Started in Hedge Funds, 0471316962 Paper. EAN - 9780471323631 Carton Quantity - 41


Swing Trading

Swing Trading

Author: Oliver L. Velez

Publisher: John Wiley & Sons

Published: 2012-10-22

Total Pages: 91

ISBN-13: 1118538749

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Oliver Velez, co-founder of Pristine.com and current CEO of Velez Capital Management, is renowned for his effective trading skills and specialized knowledge in technical analysis. His educational seminars are sought after by traders and often attended multiple times to extract every piece of wisdom from his presentations. Now, one of his most legendary sessions jumps from the screen into your hands in this coursebook of Velez's famed Swing Trading techniques. With detailed text and a vivid 90-minute DVD, you'll explore and master a highly profitable niche that exploits the two- to five-day holding period – a method too brief for large institutions, too lengthy for day traders, yet perfectly suited for individual investors with a mind towards success. In his captivating, high-energy style, Velez shows you how to: Spot opportunities using proven swing trading criteria; Define periods of market uncertainty and make the right moves; Discover key set-ups and effectively use moving averages; Read charts successfully, especially Japanese Candlesticks; Win by going against conventional trading wisdom; Understand and profit from understanding market psychology. Only in this book/DVD course combination will you be able to fully absorb the wealth of material that Oliver Velez is set up to offer. The easy-to-understand definitions and eye-opening self-tests bring the information to you and the power to your trades. Don't end up on the wrong side of the market. Swing Trading is the perfect tool for the investor who wants to understand the forces that shape the trading arena. This presentation has been viewed live and on DVD by hundreds of thousands of traders. Now you can use this course to rise above the impulse of novice traders. It's the best way to master the cycles and win consistent profits.


The Faber Report

The Faber Report

Author: David Faber

Publisher: Little, Brown

Published: 2002-05-22

Total Pages: 202

ISBN-13: 0759527253

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These days, when CNBC's David Faber talks, Wall Street listens. Unlike the talking heads that populate the financial news channels, Faber is a down-and-dirty investigative reporter. For six years, on CNBC's popular Squawk Box and in his own segments, Faber has broken story after story. Each day over one million people tune in to hear his daily report. Those who know the score know that Faber is the one to listen to -- especially now that the market isn't doing as well as it used to. Now Faber has written the smartest, most innovative investment book to be published in years. Like Harvard Business School's famous case study method, each chapter is built around a story -- the story of how a stock was presented to the public. Then Faber extracts clear, easy-to-follow lessons and instructions on how readers can learn the stocks real story, just as he does everyday on CNBC. Readers learn not just how to pick the stocks they want to invest in, but how to avoid joining the "penguins" lining up for big losses. The Faber Report combines practical, down to earth investment advice with wild accounts of investor fraud, company misdeeds, and famous investors and banks that have led investors astray. A quantum leap beyond the usual investment books, The Faber Report is essential reading for anyone who wants to profit-bulls or bears.


Bulls, Bears, Boom, and Bust

Bulls, Bears, Boom, and Bust

Author: John M. Dobson

Publisher: Bloomsbury Publishing USA

Published: 2006-10-19

Total Pages: 440

ISBN-13: 1851095586

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An intriguing collection of insider information on little known aspects of commonly used business techniques, instruments, policies, and personalities that influenced the rise of the world's most successful business system. Bulls, Bears, Boom, and Bust: A Historical Encyclopedia of American Business Concepts translates the language of business in an engaging, compelling way. From mercantilism to microchips, indentured servants to venture capitalists, William Penn to Bill Gates, this one-of-a-kind lexicon provides general readers with an accessible introduction to the vernacular of the American business community, while providing business professionals with a handy resource for quick authoritative answers. Divided into five chronological sections, Bulls, Bears, Boom, and Bust ranges from colonial times to the present, charting the dramatic history of business innovations and institutions in the United States. It contains over 200 topical entries that define business-related terms and explain their relevance to American business and economic history. In addition, each section provides information about the people behind the signature developments in American business (innovative thinkers and entrepreneurs, namesakes of familiar companies, key political figures).


Waltzing with Bears

Waltzing with Bears

Author: Tom DeMarco

Publisher: Pearson Education

Published: 2013

Total Pages: 207

ISBN-13: 0133492052

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This is the digital version of the printed book (Copyright © 2003). If There's No Risk On Your Next Project, Don't Do It. Greater risk brings greater reward, especially in software development. A company that runs away from risk will soon find itself lagging behind its more adventurous competition. By ignoring the threat of negative outcomes-in the name of positive thinking or a can-do attitude-software managers drive their organizations into the ground. In Waltzing with Bears, Tom DeMarco and Timothy Lister-the best-selling authors of Peopleware-show readers how to identify and embrace worthwhile risks. Developers are then set free to push the limits. The authors present the benefits of risk management, including that it makes aggressive risk-taking possible, protects management from getting blindsided, provides minimum-cost downside protection, reveals invisible transfers of responsibility, isolates the failure of a subproject. Readers are armed with strategies for confronting the most common risks that software projects face: schedule flaws, requirements inflation, turnover, specification breakdown, and under-performance. Waltzing with Bears will help you mitigate the risks-before they turn into project-killing problems. Risks are out there-and they should be there-but there is a way to manage them.


Financial Risk Management For Dummies

Financial Risk Management For Dummies

Author: Aaron Brown

Publisher: John Wiley & Sons

Published: 2015-12-14

Total Pages: 395

ISBN-13: 111908220X

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Take the risk out of financial risk management Written by bestselling author and past winner of the GARP Award's Risk Manager of the Year, Aaron Brown, Financial Risk Management For Dummies offers thorough and accessible guidance on successfully managing and controlling financial risk within your company. Through easy-to-follow instruction, you'll find out how to manage risk, firstly by understanding it, and then by taking control of it. Plus, you'll discover how to measure and value financial risk, set limits, stop losses, control drawdowns and hedge bets. Financial risk management uses financial instruments to manage exposure to risk within firms, large and small—particularly credit risk and market risk. From managing and measuring risk to working in financial institutions and knowing how to communicate risk to your company and clients, Financial Risk Management For Dummies makes it easy to make sense of the management of risk when working in various different financial institutions and concludes by covering the topic of how to communicate risk — how to report it properly and how to deal with and comply with all of the regulations. Covers managing risk and working as a financial risk manager Provides everything you need to know about measuring financial risk Walks you through working in financial institutions Demonstrates how to communicate risk If you work in the financial sector and want to make financial risk management your mission, you've come to the right place!