A unique approach to trading the world markets and taking profits globally. Introducing a robust trading strategy that incorporates techniques from both technical and fundamental analysis, Mark Boucher examines the major markets and illustrates where the odds are greatest in the trader's favor. He also addresses overall asset allocation issues, provides techniques for selecting investments and earning maximum profits from major market moves, and more. MARK BOUCHER (Los Altos, California) is President of Investment Research Associates. An active futures trader, he is the manager of Midas Trust Fund and the publisher of Portfolio Strategy Letter.
| Přidáno: 09.05.2007 | ISBN: 0471185388 | Stran: 384 | Cena: £ 39,49 | Jazyk: anglicky |
| Equity Derivatives and Mar… Vynikající publikace napsaná ve spolupráci s jedním z nejlepších investičních expertů Deutsche Bank. Kniha se zaměřuje především na deriváty, oceňování derivátů a hedging. |
Commodity Derivatives and … Jedinečný průvodce finančními deriváty a hedgingovými strategiemi na všechny druhy komodit, které se obchodují na hlavních i OTC trzích. Publikace je určena všem finančníkům, producentům, proj… |
Multi-Asset Class Investme… The book explains that instead of asset allocation being set in an isolated and arbitrary fashion, it is in fact the way in which specific hurdle investment returns can be targeted, and that this approach is al… |