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By Robert R. Prechter
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2,70000
Robert R. Prechter is known for developing a theory of social causality called socionomics, which he has elucidated in books and academic papers. In 1979, he founded Elliott Wave International, where he and his colleagues have applied and expanded upon R.N. Elliott's fractal model of financial pricing. Prechter graduated from Yale University. For more, visit robertprechter.com.
AuthorRobert R. Prechter BindingHardcover
HOW TO TRADE IN STOCKS
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By  Jesse Livermore
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1,92500 1,69900
Jesse Livermore was a loner, an individualist-and the most successful stock trader who ever lived. Written shortly before his death in 1940,  How to Trade Stocks  offered traders their first account of that famously tight-lipped operator's trading system. Written in Livermore's inimitable, no-nonsense style, it interweaves fascinating autobiographical and historical details with step-by-step guidance on: Reading market and stock behaviors Analyzing leading sectors Market timing Money management Emotional control In this new edition of that classic, trader and top Livermore expert Richard Smitten sheds new light on Jesse Livermore's philosophy and methods. Drawing on Livermore's private papers and interviews with his family, Smitten provides priceless insights into the Livermore trading formula, along with tips on how to combine it with contemporary charting techniques. Also included is the Livermore Market Key, the first and still one of the most accurate methods of tracking and recording market patterns
Author Jesse Livermore BindingPaperback
JOHN BOGLE AND THE VANGUARD EXPERIMENT
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By Robert Slater
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3,93100 3,65700
Robert Slater has over 25 years of experience writing for Time, Newsweek, and UPI. Slater has written a number of bestselling business books, including J.Welch and the GE Way; The New York Times business bestseller Ovitz: The Inside Story of Hollywoods Most Controversial Powerbroker; Get Better or Get Beaten: 31 Leadership Secrets from GE's J.Welch, and Soros: The Life, Times, & Trading Secrets of the World's Greatest Investor. His latest book, Saving Big Blue: Leadership Lessons & Turnaround Tactics of IBMs Lou Gerstner, was published in September 1999.
AuthorRobert Slater BindingHardcover
RIDING THE STORM
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By Gerald Michaluk
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1,66300 1,33000
Gerald Michaluk is the founder and CEO of Marketing Management Services International. With offices in Glasgow, Aberdeen, Houston and Silicon Valley the company is one of the world's leading strategic marketing consultancies. They have worked with a wealth of global companies such as Compaq Computers, Lucent Technologies, IBM, Hewlett Packard, Innogy plc, Scottish Power and British Gas. Gerald is a former lecturer in marketing at the University of Strathclyde, Europe's acclaimed and largest marketing department. He is a contributor to the Macmillan Dictionary of Marketing and various academic journals both in the UK and the US. Gerald is a regular speaker at seminars and presentations around the world.
AuthorGerald Michaluk BindingHardcover
HOW TO MAKE MONEY WITH JUNK BONDS
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By Robert Levine
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1,89420 1,56099
Robert Levine, CFA, is the founder of Nomura Corporate Research and Asset Management, Inc. ("NCRAM"), where he served as President, CEO and CIO for nearly twenty years. A renowned investor and inductee into the Fixed Income Analysts Society Hall of Fame, Levine founded NCRAM as an analyst-driven research boutique in below-investment-grade debt. As CIO, he managed over $15 billion. Mr. Levine is a CFA Charter Holder, a past member of The Association for Investment Management and Research ("AIMR") Accounting Policy Committee, a past Director and past President of the Fixed Income Analysts Society, and past Chairman of the Fixed Income Analysts Society annual Bond Conference.
AuthorRobert Levine BindingHardcover
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By Howard Schilit
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3,08000 2,66000
Dr. Howard Schilit is a pioneer in the field of detecting accounting tricks in corporate financial reports that mislead investors. He is the author of  Financial Shenanigans: How to Detect Accounting Gimmicks & Fraud in Financial Reports , now in its 3rd Edition. Howard was the founder and CEO of CFRA, a global forensic accounting research organization. He has been a leading spokesman before the US Congress, the SEC, and global media outlets about the causes and early warning signs of accounting tricks in public filings. Dr. Schilit began his career as an Associate Professor of Accounting at American University and continues to teach and lecture all over the world. Dr. Schilit holds his doctorate in Accounting from the University of Maryland.
AuthorHoward Schilit BindingHardcover
9780071752114
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By William J O'Neil
Out of stock
2,50000 2,33300
William J. O'Neil, born in 1933 in Oklahoma City, was raised in Texas. He graduated from the Woodrow Wilson High School in Dallas in 1951. He subsequently studied a business - related course at the South Methodist University and received his bachelor's degree from there. He is an entrepreneur, stockbroker and writer who founded the business newspaper, Investor's Business Daily and the stockbroker firm, William J. O'Neil and Co Inc. How to Make Money in Stocks: Complete Investing System has been written by him based on his extensive experience in the subject. He lives in Los Angeles, California.
AuthorWilliam J O'Neil BindingPaperback
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By Dan Passarelli
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2,84200 2,47500
On Dan Passarelli’s first day as a clerk on the exchange floor, he spent the morning observing, practicing his hand signals, and running errands. Around midday, the veteran clerk he worked with said to him, “You’re up. I’m going to lunch.” Dan survived his trial by fire and went on to spend many years on the trading fl oor. He credits his success as a trader and educator to the hands-on experience he gained throughout his career. With  The Market Taker’s Edge , Passarelli shares the knowledge and insights other floor traders keep tight to their chests―the knowledge you need to beat the market on a regular basis. This market maker turned market taker delivers a focused commentary on key concepts for operating in the options exchange like a pro. He offers a candid look at the ups and downs of his trading career and conveys the lessons he learned along the way in an informative and often entertaining way. After spending time on the floor in his shoes, you’ll understand: How professional traders attempt to make money―and why it’s different from the way you make money Why market makers are not the enemy How both market takers and market makers can profit while taking opposite sides of the same trade How to focus on what is important in a trade and avoid the noise Dan Passarelli has already taught thousands of people how to make a living as traders, and now with  The Market Taker’s Edge , he can help you do it, too.
AuthorDan Passarelli BindingHardcover
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By Sheldon Natenberg
In stock
7,74900 7,31850
THE CLASSIC BESTSELLING GUIDE--NOW REVISED AND UPDATED For two decades, Sheldon Natenberg's  Option Volatility & Pricing  has been one of the most widely read texts among serious option traders around the world. Now updated for today's market, the second edition takes an indepth look at the latest developments and trends in option products and trading strategies. Topics include: * Theoretical Pricing Models * Understanding Volatility* Trading and Hedging Strategies * Risk Management * Option Arbitrage * Option Theory and the Real World* Volatility Contracts The book presents strategies and techniques used by successful option traders at major exchanges and professional trading firms around the globe. Expanded and completely revised to address today's markets, it's the most comprehensive book on the subject, written by someone in the unique position of being both a professional trader and educator. Includes a glossary of option terminology and math essentials
AuthorSheldon Natenberg BindingHardcover
9789390491742
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By William J O'Neil
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1,09900 85000
Written by the acclaimed entrepreneur, William J O'Neil, How to Make Money in Stocks: A Winning System in Good Times and Bad, Fourth Edition is a handy guide that that deals with the stock market and its intricacies. The author of this book has written down the hard-earned knowledge he gained from his own experiences as an investor. The price charts of winning stocks from the past century have been listed out in the beginning of this book. These charts are supplemented with notes throughout in order to make them more comprehensible to readers. In this book, the author discusses his trademark CAN SLIM method of investing. The CAN SLIM method put together by the author consists of 7 steps which are aimed at maximising profits. This book imparts valuable information about the times when one needs to cut a loss and the times when one needs to invest and make a profit. Mutual funds and exchange-traded funds are discussed as well by the author and he provides important tips on the ways to properly approach them while investing. The CAN SLIM method highlighted in this book was formulated by the author after analysing stock market patterns over the last 100 years. How to Make Money in Stocks: A Winning System in Good Times and Bad, Fourth Edition runs its readers through important investment-related aspects such as an organisation's growth rate, demand and supply, mutual funds, etc. The 4th edition of this book was published by McGraw-Hill Professional in 2009 and is available as a paperback.
AuthorWilliam J O'Neil BindingPaperback
9781556236839
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By Stan Weinstein
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2,58300 1,89420
"Stan Weinstein's Secrets For Profiting in Bull and Bear Markets" reveals his successful methods for timing investments to produce consistently profitable results. Topics include: Stan Weinstein's personal philosophy on investing; the ideal time to buy; refining the buying process; knowing when to sell; selling short; and using the best long-term indicators to spot Bull and Bear markets Odds, ends, and profits. McGraw-Hill authors represent the leading experts in their fields and are dedicated to improving the lives, careers, and interests of readers worldwide
AuthorStan Weinstein BindingPaperback
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By Max Isaacman
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2,14820 1,71856
"Max Isaacman's The Nasdaq Investor successfully integrates a clear discussion of how the Nasdaq market works with an analysis of the potential for 'new economy' stocks and funds. He offers suggestions based on wisdom from experience­­rather than unrealistic promises." -Gary L. Gastineau Nuveen Investments "Every investor should know the structure and mechanics of the stock markets in which they invest. This book is a valuable basic tool for all investors who wish to become more knowledgeable and thereby more empowered." -Fredric M. Roberts Investment Banker, former Chairman NASD Meteoric rises ... catastrophic tumbles ... the Nasdaq market has come to reflect both the best and the worst of today's explosive, technology-driven economy. Yet for investors who have learned to take advantage of all market environments­­up, down, or sideways­­the unprecedented turbulence of the Nasdaq could be like money in the bank. The Nasdaq Investor will help you understand the changes that have made today's investment marketplace the most exciting and perilous in history. A practical guide to successfully riding the Nasdaq wave, this first-of-its-kind book outlines specific strategies for reaping the rewards of this constantly moving market while managing your risks during times of extreme volatility. To help you profit from one of history's most accessible, exciting profit opportunities, The Nasdaq Investor provides a deeper understanding of the market itself. The first book to combine insights into today's technology-driven economy with the history and foundations of the Nasdaq market itself, this hard-hitting, concise guide addresses the issues that really matter to investors. Which stocks and sectors are poised to catch the next market upturn? What factors have fueled­­and will continue to fuel­­the Nasdaq's breathtaking climbs and falls? How can investors profit from the former while hedging their portfolios against the latter? The Nasdaq Investor answers these questions and hundreds of others by always keeping its focus on investing. Covering everything from short-term trading techniques to long-term investment strategies, The Nasdaq Investor discusses: The new class of exchange-traded funds­­including QQQ, HHH, and others­­and how they provide broad diversification for investors of any size Bases of valuation that go beyond P/E ratios to examine the potential of a company or industry Level II trading techniques to limit short-term trading risks while increasing upside potential Today's Nasdaq market is both a driver­­and a follower­­of the exciting new global marketplace. Read The Nasdaq Investor to ensure your understanding of this new marketplace and enhance your ability to consistently beat the averages while minimizing the investment risks of the transformed economy.  
AuthorMax Isaacman BindingHardcover
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