Stock market math essential formulas for selecting and managing stock and risk
Material type: TextPublication details: Boston Walter De Gruyter 2017Description: xiv,266pISBN:- 9781501515811
- 332.632042 23 TH-S
Item type | Home library | Collection | Call number | Status | Date due | Barcode | |
---|---|---|---|---|---|---|---|
OPJGU Sonepat- Campus Main Library | General Books | 332.632042 TH-S (Browse shelf(Opens below)) | Checked out | 04/04/2024 | 140832 |
Browsing OPJGU Sonepat- Campus shelves, Collection: General Books Close shelf browser (Hides shelf browser)
332.632042 SC-S Stock charts | 332.632042 SC-S Stock charts for dummies / | 332.632042 TH-C Candlestick charting profiting from effective stock chart analysis | 332.632042 TH-S Stock market math essential formulas for selecting and managing stock and risk | 332.632042 WI-Q Quantitative financial analytics the path to investment profits | 332.632044 JE-A Advanced fixed income valuation tools | 332.632044 JH-I Interest rate markets a practical approach to fixed income |
"Stock Market Math shows you how to calculate return, leverage, risk, fundamental and technical analysis problems, price, volume, momentum and moving averages, including over 125 formulas and Excel programs for each, enabling readers to simply plug formulas into a spread sheet. This book is the definitive reference for all investors and traders. It introduces the many formulas and legends every investor needs, and explains their application through examples and narrative discussions providing the Excel spreadsheet programs for each. Readers can find instant answers to every calculation required to pick the best trades for your portfolio, quantify risk, evaluate leverage, and utilize the best technical indicators. Michael C. Thomsett is a market expert, author, speaker and coach. His many books include Mathematics of Options, Real Estate Investor's Pocket Calculator, and A Technical Approach to Trend Analysis. In Stock Market Math, the author advances the science of risk management and stock evaluation with more than 50 endnotes, 50 figures and tables, and a practical but thoughtful exploration of how investors and traders may best quantify their portfolio decisions"--
"This book summarizes the often elusive mathematical aspects of stock investing. It is organized by topic in each chapter and includes formulas in three ways: the basic mathematical formula, the Excel program entries, and an example. This is framed within a narrative discussing risk, applicability, and application for trading and risk management"--
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