Author: Philip L. Carret
Publisher: Pickle Partners Publishing
ISBN: 1786256746
Category : Business & Economics
Languages : en
Pages : 401
Book Description
Philip L. Carret (1896-1998) was a famed investor and founder of The Pioneer Fund (Fidelity Mutual Trust), one of the first Mutual Funds in the United States. A former Barron’s reporter and WWI aviator, Carret launched the Mutual Trust in 1928 after managing money for his friends and family. The initial effort evolved into Pioneer Investments. He ran the fund for 55 years, during which an investment of $10,000 became $8 million. Warren Buffett said of him that he had “the best long term investment record of anyone I know” He is most famous for the long successful track record he achieved investing in Common Stocks and for being one of Warren Buffett’s role models. This book comprises a series of articles written for Barron’s and published in book form in 1930.—Print Ed.
The Art Of Speculation
Author: Philip L. Carret
Publisher: Pickle Partners Publishing
ISBN: 1786256746
Category : Business & Economics
Languages : en
Pages : 401
Book Description
Philip L. Carret (1896-1998) was a famed investor and founder of The Pioneer Fund (Fidelity Mutual Trust), one of the first Mutual Funds in the United States. A former Barron’s reporter and WWI aviator, Carret launched the Mutual Trust in 1928 after managing money for his friends and family. The initial effort evolved into Pioneer Investments. He ran the fund for 55 years, during which an investment of $10,000 became $8 million. Warren Buffett said of him that he had “the best long term investment record of anyone I know” He is most famous for the long successful track record he achieved investing in Common Stocks and for being one of Warren Buffett’s role models. This book comprises a series of articles written for Barron’s and published in book form in 1930.—Print Ed.
Publisher: Pickle Partners Publishing
ISBN: 1786256746
Category : Business & Economics
Languages : en
Pages : 401
Book Description
Philip L. Carret (1896-1998) was a famed investor and founder of The Pioneer Fund (Fidelity Mutual Trust), one of the first Mutual Funds in the United States. A former Barron’s reporter and WWI aviator, Carret launched the Mutual Trust in 1928 after managing money for his friends and family. The initial effort evolved into Pioneer Investments. He ran the fund for 55 years, during which an investment of $10,000 became $8 million. Warren Buffett said of him that he had “the best long term investment record of anyone I know” He is most famous for the long successful track record he achieved investing in Common Stocks and for being one of Warren Buffett’s role models. This book comprises a series of articles written for Barron’s and published in book form in 1930.—Print Ed.
Successful Stock Speculation
Author: John James Butler
Publisher:
ISBN:
Category : Speculation
Languages : en
Pages : 118
Book Description
Publisher:
ISBN:
Category : Speculation
Languages : en
Pages : 118
Book Description
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.
Trader Vic II
Author: Victor Sperandeo
Publisher: John Wiley & Sons
ISBN: 0471248479
Category : Business & Economics
Languages : en
Pages : 310
Book Description
The man Barron's dubbed "the ultimate Wall Street pro" returns witha stunning follow-up to his bestselling Trader Vic--Methods of aWall Street Master ("The best investment book of 1992"--The StockTrader's Almanac). Take an advanced class in his patented tradingand investment philosophy and learn how the master makes betterinvestment decisions . . . deciphers economic theories and usesthem to predict investment outcomes . . . cuts through the lies,fallacies, and distortions that muddle and confound trading andinvestment decision making . . . and much more! What the experts said about Trader Vic--Methods of a Wall StreetMaster . . . "Victor Sperandeo is gifted with one of the finest minds I know. Nowonder he's compiled such an amazing record of success as a moneymanager. Every investor can benefit from the wisdom he offers inhis new book. Don't miss it!" --Paul Tudor Jones, Tudor InvestmentCorporation. "Here's a simple review in three steps: 1. Buy this book! 2. Readthis book! 3. See step 2. For those who can't take a hint, VictorSperandeo with T. Sullivan Brown has written a gem, a book of valuefor everyone in the markets, whether egghead, novice, or seasonedspeculator." --John Sweeney, Technical Analysis of Stocks andCommodities. "Get Trader Vic--Methods of a Wall Street Master by VictorSperandeo, read it over and over and you'll never have a losingyear again." --Yale Hirsch, Smart Money.
Publisher: John Wiley & Sons
ISBN: 0471248479
Category : Business & Economics
Languages : en
Pages : 310
Book Description
The man Barron's dubbed "the ultimate Wall Street pro" returns witha stunning follow-up to his bestselling Trader Vic--Methods of aWall Street Master ("The best investment book of 1992"--The StockTrader's Almanac). Take an advanced class in his patented tradingand investment philosophy and learn how the master makes betterinvestment decisions . . . deciphers economic theories and usesthem to predict investment outcomes . . . cuts through the lies,fallacies, and distortions that muddle and confound trading andinvestment decision making . . . and much more! What the experts said about Trader Vic--Methods of a Wall StreetMaster . . . "Victor Sperandeo is gifted with one of the finest minds I know. Nowonder he's compiled such an amazing record of success as a moneymanager. Every investor can benefit from the wisdom he offers inhis new book. Don't miss it!" --Paul Tudor Jones, Tudor InvestmentCorporation. "Here's a simple review in three steps: 1. Buy this book! 2. Readthis book! 3. See step 2. For those who can't take a hint, VictorSperandeo with T. Sullivan Brown has written a gem, a book of valuefor everyone in the markets, whether egghead, novice, or seasonedspeculator." --John Sweeney, Technical Analysis of Stocks andCommodities. "Get Trader Vic--Methods of a Wall Street Master by VictorSperandeo, read it over and over and you'll never have a losingyear again." --Yale Hirsch, Smart Money.
Options
Author: Michael C. Thomsett
Publisher: Walter de Gruyter GmbH & Co KG
ISBN: 1547400110
Category : Business & Economics
Languages : en
Pages : 447
Book Description
With over 300,000 copies sold, the new edition of this comprehensive mentoring guide clearly presents all of the essential information needed to learn to trade options. Whereas most options books focus on profit and loss opportunities, this book addresses the issues of hedging market risks in an equity portfolio head on. The author presents the compelling argument that options should not be thought of as risky stand-alone trading vehicles, but offer greater value as a coordinated strategic methodology for managing equity portfolio risks as presented in numerous examples in this book. Divided into four parts, Options reflects a guiding standard of the past nine editions and includes: Crystal clear explanations of the attributes and strategies of calls and puts. A chapter on the short life of an option. This, missing in almost every options book, is a key to understanding options trading. Examples in Part 1 showing different trading strategies on both sides of the trade. The second part of the book is about closing positions; taking profit, exercising, expirations or rolling forward your position, risk analysis, profit calculations, and the impact of volatility. The third part simplifies the complex issues of advanced strategies including the various spreads, combining spreads to successfully hedge other positions and how certain strategies work. Each spread is covered in at least one detailed example. The final part is on evaluating risk. The unquestioned benefits of hedging risk and strategies that are virtually guaranteed to succeed that are generally the domain of the investment giants along with many examples are discussed. The book’s broad coverage makes it an incredibly valuable desk reference to any trader in options. You won’t get explanations like these on the internet. Michael C. Thomsett is a market expert, author, speaker, and coach. His many books include Stock Market Math, Candlestick Charting, The Mathematics of Options, and A Technical Approach to Trend Analysis. Click here to see an interview with the author. https://youtu.be/8bgrgLB3Mx4
Publisher: Walter de Gruyter GmbH & Co KG
ISBN: 1547400110
Category : Business & Economics
Languages : en
Pages : 447
Book Description
With over 300,000 copies sold, the new edition of this comprehensive mentoring guide clearly presents all of the essential information needed to learn to trade options. Whereas most options books focus on profit and loss opportunities, this book addresses the issues of hedging market risks in an equity portfolio head on. The author presents the compelling argument that options should not be thought of as risky stand-alone trading vehicles, but offer greater value as a coordinated strategic methodology for managing equity portfolio risks as presented in numerous examples in this book. Divided into four parts, Options reflects a guiding standard of the past nine editions and includes: Crystal clear explanations of the attributes and strategies of calls and puts. A chapter on the short life of an option. This, missing in almost every options book, is a key to understanding options trading. Examples in Part 1 showing different trading strategies on both sides of the trade. The second part of the book is about closing positions; taking profit, exercising, expirations or rolling forward your position, risk analysis, profit calculations, and the impact of volatility. The third part simplifies the complex issues of advanced strategies including the various spreads, combining spreads to successfully hedge other positions and how certain strategies work. Each spread is covered in at least one detailed example. The final part is on evaluating risk. The unquestioned benefits of hedging risk and strategies that are virtually guaranteed to succeed that are generally the domain of the investment giants along with many examples are discussed. The book’s broad coverage makes it an incredibly valuable desk reference to any trader in options. You won’t get explanations like these on the internet. Michael C. Thomsett is a market expert, author, speaker, and coach. His many books include Stock Market Math, Candlestick Charting, The Mathematics of Options, and A Technical Approach to Trend Analysis. Click here to see an interview with the author. https://youtu.be/8bgrgLB3Mx4
P-Z
Author: Library of Congress. Office for Subject Cataloging Policy
Publisher:
ISBN:
Category : Subject headings, Library of Congress
Languages : en
Pages : 1644
Book Description
Publisher:
ISBN:
Category : Subject headings, Library of Congress
Languages : en
Pages : 1644
Book Description
Library of Congress Subject Headings
Author: Library of Congress
Publisher:
ISBN:
Category : Subject headings, Library of Congress
Languages : en
Pages : 1160
Book Description
Publisher:
ISBN:
Category : Subject headings, Library of Congress
Languages : en
Pages : 1160
Book Description
Library of Congress Subject Headings
Author: Library of Congress. Office for Subject Cataloging Policy
Publisher:
ISBN:
Category : Subject headings, Library of Congress
Languages : en
Pages : 1660
Book Description
Publisher:
ISBN:
Category : Subject headings, Library of Congress
Languages : en
Pages : 1660
Book Description
Library of Congress Subject Headings
Author: Library of Congress. Cataloging Policy and Support Office
Publisher:
ISBN:
Category : Subject headings, Library of Congress
Languages : en
Pages : 1924
Book Description
Publisher:
ISBN:
Category : Subject headings, Library of Congress
Languages : en
Pages : 1924
Book Description
The Complete Options Trader
Author: Michael C. Thomsett
Publisher: Springer
ISBN: 3319765051
Category : Business & Economics
Languages : en
Pages : 253
Book Description
Options traders rely on a vast array of information concerning probability, risk, strategy components, calculations, and trading rules. Traders at all levels, as well as portfolio managers, must refer to numerous print and online sources, each source only providing part of the information they need. This is less than ideal, as online sources tend to be basic, simplified, and in some cases incorrect. Print sources, on the other hand, are mostly focused on a very narrow range of strategies or trading systems. Up until now, there has been no single source to provide a comprehensive reference for the serious trader. The Complete Options Trader is that much-need comprehensive reference, a compilation of the many attributes options traders need. Thomsett lays out a rich and complete guide to 100 strategies, including profit and loss calculations, illustrations, examples, and much more. A thorough evaluation of these strategies (and the rewards and risk involved) demonstrates how a broad approach to analytically using options can and does enhance portfolio profits with lower levels of risk. The book also features a complete glossary of terms used in the options industry, the most comprehensive glossary of this nature currently available. All too often, the attributes of options trading are poorly understood; risk is ignored or over-simplified; hedging is not folded into a strategic evaluation; and options traders shun the value of holding equity positions. No longer—if options traders rely on this comprehensive guide as the reference for the industry.
Publisher: Springer
ISBN: 3319765051
Category : Business & Economics
Languages : en
Pages : 253
Book Description
Options traders rely on a vast array of information concerning probability, risk, strategy components, calculations, and trading rules. Traders at all levels, as well as portfolio managers, must refer to numerous print and online sources, each source only providing part of the information they need. This is less than ideal, as online sources tend to be basic, simplified, and in some cases incorrect. Print sources, on the other hand, are mostly focused on a very narrow range of strategies or trading systems. Up until now, there has been no single source to provide a comprehensive reference for the serious trader. The Complete Options Trader is that much-need comprehensive reference, a compilation of the many attributes options traders need. Thomsett lays out a rich and complete guide to 100 strategies, including profit and loss calculations, illustrations, examples, and much more. A thorough evaluation of these strategies (and the rewards and risk involved) demonstrates how a broad approach to analytically using options can and does enhance portfolio profits with lower levels of risk. The book also features a complete glossary of terms used in the options industry, the most comprehensive glossary of this nature currently available. All too often, the attributes of options trading are poorly understood; risk is ignored or over-simplified; hedging is not folded into a strategic evaluation; and options traders shun the value of holding equity positions. No longer—if options traders rely on this comprehensive guide as the reference for the industry.