Author: Ludovic MARIN
Publisher: MARIN
ISBN:
Category : Business & Economics
Languages : en
Pages : 161
Book Description
Would you like to make money in the stock market but you don't know how? Or are you investing in the financial markets but not getting the results you expected? So, I have a solution for you: invest in ETFs (Exchange Traded Funds), also called “trackers”. An ETF is an investment fund, listed on a stock exchange, which tracks a benchmark index within one or more asset classes (shares, bonds, real estate, cryptocurrencies, gold, commodities, etc.). This is an extremely simple but effective way to achieve excellent financial performance... as long as you select the right ETFs! Dive into the heart of the stock market and dominate the world of trackers with this essential book, designed for beginners hungry for success and intermediate investors seeking financial excellence. Discover all the secrets to building a robust stock market portfolio, analyzing trackers with finesse and maximizing your passive income. In this book, you will learn how to: - Explore different asset classes and stock market indices for diversified strategies; - Know the best capitalizing ETFs and distributing ETFs; - Master the art of analyzing trackers to choose the best; - Build an optimal ETF stock market portfolio, tailor-made for your financial objectives; - Maximize your passive income with dividends and trackers; - And much more ! Whether you're preparing for retirement, aspiring to financial freedom, or simply looking to develop your investing skills, this book will support you every step of your financial journey. Get ready to take the reins of your personal finances today. This book is structured in just 6 steps to be successful in the financial markets. You just have to follow each step to succeed. Thanks to accessible explanations and concrete examples, you will know everything about trackers. Start your journey to prosperity now. Order your copy of this book and take a giant step toward your financial goals! * * * My name is MARIN Ludovic. I am a French entrepreneur, investor and philanthropist. I help people to improve their personal finance and personal development. For this, I am the author of several dozen books (available on AMAZON, APPLE, GOOGLE, KOBO...) and video training courses (available on UDEMY).
Make Money in the Stock Market Like a Pro with ETFs:
Author: Ludovic MARIN
Publisher: MARIN
ISBN:
Category : Business & Economics
Languages : en
Pages : 161
Book Description
Would you like to make money in the stock market but you don't know how? Or are you investing in the financial markets but not getting the results you expected? So, I have a solution for you: invest in ETFs (Exchange Traded Funds), also called “trackers”. An ETF is an investment fund, listed on a stock exchange, which tracks a benchmark index within one or more asset classes (shares, bonds, real estate, cryptocurrencies, gold, commodities, etc.). This is an extremely simple but effective way to achieve excellent financial performance... as long as you select the right ETFs! Dive into the heart of the stock market and dominate the world of trackers with this essential book, designed for beginners hungry for success and intermediate investors seeking financial excellence. Discover all the secrets to building a robust stock market portfolio, analyzing trackers with finesse and maximizing your passive income. In this book, you will learn how to: - Explore different asset classes and stock market indices for diversified strategies; - Know the best capitalizing ETFs and distributing ETFs; - Master the art of analyzing trackers to choose the best; - Build an optimal ETF stock market portfolio, tailor-made for your financial objectives; - Maximize your passive income with dividends and trackers; - And much more ! Whether you're preparing for retirement, aspiring to financial freedom, or simply looking to develop your investing skills, this book will support you every step of your financial journey. Get ready to take the reins of your personal finances today. This book is structured in just 6 steps to be successful in the financial markets. You just have to follow each step to succeed. Thanks to accessible explanations and concrete examples, you will know everything about trackers. Start your journey to prosperity now. Order your copy of this book and take a giant step toward your financial goals! * * * My name is MARIN Ludovic. I am a French entrepreneur, investor and philanthropist. I help people to improve their personal finance and personal development. For this, I am the author of several dozen books (available on AMAZON, APPLE, GOOGLE, KOBO...) and video training courses (available on UDEMY).
Publisher: MARIN
ISBN:
Category : Business & Economics
Languages : en
Pages : 161
Book Description
Would you like to make money in the stock market but you don't know how? Or are you investing in the financial markets but not getting the results you expected? So, I have a solution for you: invest in ETFs (Exchange Traded Funds), also called “trackers”. An ETF is an investment fund, listed on a stock exchange, which tracks a benchmark index within one or more asset classes (shares, bonds, real estate, cryptocurrencies, gold, commodities, etc.). This is an extremely simple but effective way to achieve excellent financial performance... as long as you select the right ETFs! Dive into the heart of the stock market and dominate the world of trackers with this essential book, designed for beginners hungry for success and intermediate investors seeking financial excellence. Discover all the secrets to building a robust stock market portfolio, analyzing trackers with finesse and maximizing your passive income. In this book, you will learn how to: - Explore different asset classes and stock market indices for diversified strategies; - Know the best capitalizing ETFs and distributing ETFs; - Master the art of analyzing trackers to choose the best; - Build an optimal ETF stock market portfolio, tailor-made for your financial objectives; - Maximize your passive income with dividends and trackers; - And much more ! Whether you're preparing for retirement, aspiring to financial freedom, or simply looking to develop your investing skills, this book will support you every step of your financial journey. Get ready to take the reins of your personal finances today. This book is structured in just 6 steps to be successful in the financial markets. You just have to follow each step to succeed. Thanks to accessible explanations and concrete examples, you will know everything about trackers. Start your journey to prosperity now. Order your copy of this book and take a giant step toward your financial goals! * * * My name is MARIN Ludovic. I am a French entrepreneur, investor and philanthropist. I help people to improve their personal finance and personal development. For this, I am the author of several dozen books (available on AMAZON, APPLE, GOOGLE, KOBO...) and video training courses (available on UDEMY).
Investing For Dummies® (Volume 1 of 2) (EasyRead Super Large 18pt Edition)
Author: Eric Kevin Tyson
Publisher: ReadHowYouWant.com
ISBN: 1458721094
Category : Investments
Languages : en
Pages : 502
Book Description
Become a savvy investor with this updated Wall Street Journal bestseller Want to take charge of your financial future? This national bestselling guide has been thoroughly updated to provide you with the latest insights into smart investing, from weighing your investment options (such as stocks, real estate, and small business) to understanding risks and returns, managing your portfolio, and much more.Get time-tested investment advice -- expert author Eric Tyson shares his extensive knowledge and reveals how to invest in challenging marketsDiscover all the fundamenta.
Publisher: ReadHowYouWant.com
ISBN: 1458721094
Category : Investments
Languages : en
Pages : 502
Book Description
Become a savvy investor with this updated Wall Street Journal bestseller Want to take charge of your financial future? This national bestselling guide has been thoroughly updated to provide you with the latest insights into smart investing, from weighing your investment options (such as stocks, real estate, and small business) to understanding risks and returns, managing your portfolio, and much more.Get time-tested investment advice -- expert author Eric Tyson shares his extensive knowledge and reveals how to invest in challenging marketsDiscover all the fundamenta.
Stock Market Investing for Beginners
Author: Tycho Press
Publisher: Sourcebooks, Inc.
ISBN: 1623153026
Category : Business & Economics
Languages : en
Pages : 146
Book Description
"This book provides a good foundation for the beginning investor who is setting out to venture in the stock market. It tells you in plain English about the fundamentals of stock market and investment strategies to deepen your investing literacy. If you're looking for good advice on which stock to buy and when to sell it, you can find it in this book."—Best Ways to Invest Money Blog Investing in the stock market is a great way to build your wealth, but for those of us who aren't professional stockbrokers, knowing what information to trust and where to put your money can seem overwhelming. Stock Market Investing for Beginners provides you with the strategic advice and knowledge necessary to make informed investment decisions. Equipping you with everything you need to take control of your financial future, Stock Market Investing for Beginners removes the guesswork from investing. Stock Market Investing for Beginners gives you the tools to start investing wisely and successfully, with: A Comprehensive Overview covering the fundamentals of stock market investing Strategic Advice on buying, selling, owning, and diversifying Invaluable Tips on building your financial portfolio through stock market investing "As a financial advisor, I recommend this book to anyone wanting to learn the Wall Street stock market game and build wealth."—Cheryl D. Broussard, reader and financial advisor Learn how to make the best of your investment with Stock Market Investing for Beginners.
Publisher: Sourcebooks, Inc.
ISBN: 1623153026
Category : Business & Economics
Languages : en
Pages : 146
Book Description
"This book provides a good foundation for the beginning investor who is setting out to venture in the stock market. It tells you in plain English about the fundamentals of stock market and investment strategies to deepen your investing literacy. If you're looking for good advice on which stock to buy and when to sell it, you can find it in this book."—Best Ways to Invest Money Blog Investing in the stock market is a great way to build your wealth, but for those of us who aren't professional stockbrokers, knowing what information to trust and where to put your money can seem overwhelming. Stock Market Investing for Beginners provides you with the strategic advice and knowledge necessary to make informed investment decisions. Equipping you with everything you need to take control of your financial future, Stock Market Investing for Beginners removes the guesswork from investing. Stock Market Investing for Beginners gives you the tools to start investing wisely and successfully, with: A Comprehensive Overview covering the fundamentals of stock market investing Strategic Advice on buying, selling, owning, and diversifying Invaluable Tips on building your financial portfolio through stock market investing "As a financial advisor, I recommend this book to anyone wanting to learn the Wall Street stock market game and build wealth."—Cheryl D. Broussard, reader and financial advisor Learn how to make the best of your investment with Stock Market Investing for Beginners.
How to Make Money in Stocks: A Winning System in Good Times or Bad
Author: William J. O'Neil
Publisher: McGraw Hill Professional
ISBN: 007139480X
Category : Business & Economics
Languages : en
Pages : 282
Book Description
William J. O'Neil's proven investment advice has earned him millions of loyal followers. And his signature bestseller, How to Make Money in Stocks, contains all the guidance readers need on the entire investment processfrom picking a broker to diversifying a portfolio to making a million in mutual funds. For self-directed investors of all ages and expertise, William J. O'Neil's proven CAN SLIM investment strategy is helping those who follow O'Neil to select winning stocks and create a more powerful portfolio. Based on a 40-year study of the most successful stocks of all time, CAN SLIM is an easy-to-use tool for picking the winners and reducing risk in today's volatile economic environment.
Publisher: McGraw Hill Professional
ISBN: 007139480X
Category : Business & Economics
Languages : en
Pages : 282
Book Description
William J. O'Neil's proven investment advice has earned him millions of loyal followers. And his signature bestseller, How to Make Money in Stocks, contains all the guidance readers need on the entire investment processfrom picking a broker to diversifying a portfolio to making a million in mutual funds. For self-directed investors of all ages and expertise, William J. O'Neil's proven CAN SLIM investment strategy is helping those who follow O'Neil to select winning stocks and create a more powerful portfolio. Based on a 40-year study of the most successful stocks of all time, CAN SLIM is an easy-to-use tool for picking the winners and reducing risk in today's volatile economic environment.
Quantitative Momentum
Author: Wesley R. Gray
Publisher: John Wiley & Sons
ISBN: 111923719X
Category : Business & Economics
Languages : en
Pages : 215
Book Description
The individual investor's comprehensive guide to momentum investing Quantitative Momentum brings momentum investing out of Wall Street and into the hands of individual investors. In his last book, Quantitative Value, author Wes Gray brought systematic value strategy from the hedge funds to the masses; in this book, he does the same for momentum investing, the system that has been shown to beat the market and regularly enriches the coffers of Wall Street's most sophisticated investors. First, you'll learn what momentum investing is not: it's not 'growth' investing, nor is it an esoteric academic concept. You may have seen it used for asset allocation, but this book details the ways in which momentum stands on its own as a stock selection strategy, and gives you the expert insight you need to make it work for you. You'll dig into its behavioral psychology roots, and discover the key tactics that are bringing both institutional and individual investors flocking into the momentum fold. Systematic investment strategies always seem to look good on paper, but many fall down in practice. Momentum investing is one of the few systematic strategies with legs, withstanding the test of time and the rigor of academic investigation. This book provides invaluable guidance on constructing your own momentum strategy from the ground up. Learn what momentum is and is not Discover how momentum can beat the market Take momentum beyond asset allocation into stock selection Access the tools that ease DIY implementation The large Wall Street hedge funds tend to portray themselves as the sophisticated elite, but momentum investing allows you to 'borrow' one of their top strategies to enrich your own portfolio. Quantitative Momentum is the individual investor's guide to boosting market success with a robust momentum strategy.
Publisher: John Wiley & Sons
ISBN: 111923719X
Category : Business & Economics
Languages : en
Pages : 215
Book Description
The individual investor's comprehensive guide to momentum investing Quantitative Momentum brings momentum investing out of Wall Street and into the hands of individual investors. In his last book, Quantitative Value, author Wes Gray brought systematic value strategy from the hedge funds to the masses; in this book, he does the same for momentum investing, the system that has been shown to beat the market and regularly enriches the coffers of Wall Street's most sophisticated investors. First, you'll learn what momentum investing is not: it's not 'growth' investing, nor is it an esoteric academic concept. You may have seen it used for asset allocation, but this book details the ways in which momentum stands on its own as a stock selection strategy, and gives you the expert insight you need to make it work for you. You'll dig into its behavioral psychology roots, and discover the key tactics that are bringing both institutional and individual investors flocking into the momentum fold. Systematic investment strategies always seem to look good on paper, but many fall down in practice. Momentum investing is one of the few systematic strategies with legs, withstanding the test of time and the rigor of academic investigation. This book provides invaluable guidance on constructing your own momentum strategy from the ground up. Learn what momentum is and is not Discover how momentum can beat the market Take momentum beyond asset allocation into stock selection Access the tools that ease DIY implementation The large Wall Street hedge funds tend to portray themselves as the sophisticated elite, but momentum investing allows you to 'borrow' one of their top strategies to enrich your own portfolio. Quantitative Momentum is the individual investor's guide to boosting market success with a robust momentum strategy.
Smarter Investing
Author: Tim Hale
Publisher: Pearson UK
ISBN: 027378966X
Category : Business & Economics
Languages : en
Pages : 293
Book Description
Publisher: Pearson UK
ISBN: 027378966X
Category : Business & Economics
Languages : en
Pages : 293
Book Description
The Winning Investor's Guide to Making Money in Any Market
Author: Andrew Horowitz
Publisher: St. Martin's Griffin
ISBN: 1429950714
Category : Business & Economics
Languages : en
Pages : 240
Book Description
Over the past few decades, certified financial planner Andrew Horowitz has helped countless clients make loads of money in the market; now he's written a basic investing guidebook to share his expertise with the rest of us. Want to know the difference between ETFs and mutual funds? He tells you. Want to know how you can possibly select the best investments when you have so many choices? He explains that too. Whether you're just getting started or you want to manage your money more closely, you can invest smarter and Andrew will tell you how. You'll learn: - Which investments you should hold to have a truly diversified portfolio - Ways to choose the best stocks and know when to buy and when to sell - How to make sense of the current economic climate and invest accordingly - The best ways to minimize risk and protect your investments Andrew's blend of expertise and spot-on advice has landed him in numerous national newspapers and on shows like CNBC and The Daily Show With Jon Stewart. Discover what millions of Winning Investor podcast fans already know: Andrew's straight-shooting style, real-life examples, and quick and dirty tips take the mystery out of the market, put you on the surefire path to investing success, and make the life and future you've been dreaming of yours for the taking
Publisher: St. Martin's Griffin
ISBN: 1429950714
Category : Business & Economics
Languages : en
Pages : 240
Book Description
Over the past few decades, certified financial planner Andrew Horowitz has helped countless clients make loads of money in the market; now he's written a basic investing guidebook to share his expertise with the rest of us. Want to know the difference between ETFs and mutual funds? He tells you. Want to know how you can possibly select the best investments when you have so many choices? He explains that too. Whether you're just getting started or you want to manage your money more closely, you can invest smarter and Andrew will tell you how. You'll learn: - Which investments you should hold to have a truly diversified portfolio - Ways to choose the best stocks and know when to buy and when to sell - How to make sense of the current economic climate and invest accordingly - The best ways to minimize risk and protect your investments Andrew's blend of expertise and spot-on advice has landed him in numerous national newspapers and on shows like CNBC and The Daily Show With Jon Stewart. Discover what millions of Winning Investor podcast fans already know: Andrew's straight-shooting style, real-life examples, and quick and dirty tips take the mystery out of the market, put you on the surefire path to investing success, and make the life and future you've been dreaming of yours for the taking
The Money Matrix:
Author: Ludovic MARIN
Publisher: MARIN
ISBN:
Category : Political Science
Languages : en
Pages : 89
Book Description
Are you satisfied with your life? If the answer is no, then I have a solution for you. This book will interest you if you are tired of the metro-work-sleep routine, you want to no longer have to worry about your finances at the end of the month and you find your life unsatisfying on a spiritual level. You will learn a new philosophy of life based on material and intellectual enrichment. In this book, you will discover the secrets that will allow you to become truly free, prosperous and happy. In a word, it’s about making you a person who takes control of your destiny. When you have implemented the principles presented to you, you will then have the choice to live the life you want. You will be able to work because you want to, not because you have to. You can choose to do an activity that you like, that truly suits you. You will be able to do all this because you will understand your true nature and the power of money. You will learn to become financially independent, to live off your assets, and to lead an enriching life in contact with others. The road is long to get there…but the road is straight! So, don’t delay reading this book. Act now! * * * My name is MARIN Ludovic. I am a French entrepreneur, investor and philanthropist. I help people to improve their personal finance and personal development. For this, I am the author of several dozen books (available on AMAZON, APPLE, GOOGLE, KOBO...) and video training courses (available on UDEMY).
Publisher: MARIN
ISBN:
Category : Political Science
Languages : en
Pages : 89
Book Description
Are you satisfied with your life? If the answer is no, then I have a solution for you. This book will interest you if you are tired of the metro-work-sleep routine, you want to no longer have to worry about your finances at the end of the month and you find your life unsatisfying on a spiritual level. You will learn a new philosophy of life based on material and intellectual enrichment. In this book, you will discover the secrets that will allow you to become truly free, prosperous and happy. In a word, it’s about making you a person who takes control of your destiny. When you have implemented the principles presented to you, you will then have the choice to live the life you want. You will be able to work because you want to, not because you have to. You can choose to do an activity that you like, that truly suits you. You will be able to do all this because you will understand your true nature and the power of money. You will learn to become financially independent, to live off your assets, and to lead an enriching life in contact with others. The road is long to get there…but the road is straight! So, don’t delay reading this book. Act now! * * * My name is MARIN Ludovic. I am a French entrepreneur, investor and philanthropist. I help people to improve their personal finance and personal development. For this, I am the author of several dozen books (available on AMAZON, APPLE, GOOGLE, KOBO...) and video training courses (available on UDEMY).
Day Trading & Options Trading
Author: Samuel Feron
Publisher: Samuel Feron
ISBN: 1835121713
Category : Business & Economics
Languages : en
Pages : 150
Book Description
Discover the Ultimate Duo for Traders Seeking to Mitigate Risk and Maximize Profits! With insider technical analysis and risk management strategies, Samuel Feron provides valuable insights and actionable strategies to elevate your trading game and boost your profitability across multiple markets. Trade like a pro with this book that combines two comprehensive guides on Day Trading and Options Trading to equip you with a powerful arsenal of knowledge and techniques for success in the fast-paced world of trading! Inside, you’ll discover: - Insider Technical Analysis: Unravel the intricacies of technical analysis and harness its power to interpret price movements, identify trade opportunities, and optimize entry and exit points. - Risk Management Strategies that WORK: Discover effective risk management techniques and position sizing methods to protect your capital and minimize losses. - Winning Strategies that all top traders use: Explore proven strategies tailored to each market. Gain a deep understanding of strategy selection and adaptability, maximizing your potential for profitable trades. - The complete A to Z of Options Trading: From understanding terminology and pricing models to exploring various options strategies. Unlock the potential of options to diversify your trading portfolio. - How to conduct precise technical analysis: Learn how to analyze price patterns, interpret indicators, and incorporate volatility analysis to optimize options trading decisions. Whether you aspire to become a day trader, explore options trading, or simply enhance your trading skills, discover a comprehensive toolkit to succeed in the financial markets. Embark on a transformative trading journey and unlock your full potential as a successful trader! What are You Waiting for? Scroll Up, and Get Your Copy Now!
Publisher: Samuel Feron
ISBN: 1835121713
Category : Business & Economics
Languages : en
Pages : 150
Book Description
Discover the Ultimate Duo for Traders Seeking to Mitigate Risk and Maximize Profits! With insider technical analysis and risk management strategies, Samuel Feron provides valuable insights and actionable strategies to elevate your trading game and boost your profitability across multiple markets. Trade like a pro with this book that combines two comprehensive guides on Day Trading and Options Trading to equip you with a powerful arsenal of knowledge and techniques for success in the fast-paced world of trading! Inside, you’ll discover: - Insider Technical Analysis: Unravel the intricacies of technical analysis and harness its power to interpret price movements, identify trade opportunities, and optimize entry and exit points. - Risk Management Strategies that WORK: Discover effective risk management techniques and position sizing methods to protect your capital and minimize losses. - Winning Strategies that all top traders use: Explore proven strategies tailored to each market. Gain a deep understanding of strategy selection and adaptability, maximizing your potential for profitable trades. - The complete A to Z of Options Trading: From understanding terminology and pricing models to exploring various options strategies. Unlock the potential of options to diversify your trading portfolio. - How to conduct precise technical analysis: Learn how to analyze price patterns, interpret indicators, and incorporate volatility analysis to optimize options trading decisions. Whether you aspire to become a day trader, explore options trading, or simply enhance your trading skills, discover a comprehensive toolkit to succeed in the financial markets. Embark on a transformative trading journey and unlock your full potential as a successful trader! What are You Waiting for? Scroll Up, and Get Your Copy Now!
Volatility Trading, + website
Author: Euan Sinclair
Publisher: John Wiley & Sons
ISBN: 0470181990
Category : Business & Economics
Languages : en
Pages : 228
Book Description
In Volatility Trading, Sinclair offers you a quantitative model for measuring volatility in order to gain an edge in your everyday option trading endeavors. With an accessible, straightforward approach. He guides traders through the basics of option pricing, volatility measurement, hedging, money management, and trade evaluation. In addition, Sinclair explains the often-overlooked psychological aspects of trading, revealing both how behavioral psychology can create market conditions traders can take advantage of-and how it can lead them astray. Psychological biases, he asserts, are probably the drivers behind most sources of edge available to a volatility trader. Your goal, Sinclair explains, must be clearly defined and easily expressed-if you cannot explain it in one sentence, you probably aren't completely clear about what it is. The same applies to your statistical edge. If you do not know exactly what your edge is, you shouldn't trade. He shows how, in addition to the numerical evaluation of a potential trade, you should be able to identify and evaluate the reason why implied volatility is priced where it is, that is, why an edge exists. This means it is also necessary to be on top of recent news stories, sector trends, and behavioral psychology. Finally, Sinclair underscores why trades need to be sized correctly, which means that each trade is evaluated according to its projected return and risk in the overall context of your goals. As the author concludes, while we also need to pay attention to seemingly mundane things like having good execution software, a comfortable office, and getting enough sleep, it is knowledge that is the ultimate source of edge. So, all else being equal, the trader with the greater knowledge will be the more successful. This book, and its companion CD-ROM, will provide that knowledge. The CD-ROM includes spreadsheets designed to help you forecast volatility and evaluate trades together with simulation engines.
Publisher: John Wiley & Sons
ISBN: 0470181990
Category : Business & Economics
Languages : en
Pages : 228
Book Description
In Volatility Trading, Sinclair offers you a quantitative model for measuring volatility in order to gain an edge in your everyday option trading endeavors. With an accessible, straightforward approach. He guides traders through the basics of option pricing, volatility measurement, hedging, money management, and trade evaluation. In addition, Sinclair explains the often-overlooked psychological aspects of trading, revealing both how behavioral psychology can create market conditions traders can take advantage of-and how it can lead them astray. Psychological biases, he asserts, are probably the drivers behind most sources of edge available to a volatility trader. Your goal, Sinclair explains, must be clearly defined and easily expressed-if you cannot explain it in one sentence, you probably aren't completely clear about what it is. The same applies to your statistical edge. If you do not know exactly what your edge is, you shouldn't trade. He shows how, in addition to the numerical evaluation of a potential trade, you should be able to identify and evaluate the reason why implied volatility is priced where it is, that is, why an edge exists. This means it is also necessary to be on top of recent news stories, sector trends, and behavioral psychology. Finally, Sinclair underscores why trades need to be sized correctly, which means that each trade is evaluated according to its projected return and risk in the overall context of your goals. As the author concludes, while we also need to pay attention to seemingly mundane things like having good execution software, a comfortable office, and getting enough sleep, it is knowledge that is the ultimate source of edge. So, all else being equal, the trader with the greater knowledge will be the more successful. This book, and its companion CD-ROM, will provide that knowledge. The CD-ROM includes spreadsheets designed to help you forecast volatility and evaluate trades together with simulation engines.