The Wyckoff Methodology in Depth


Book Description

Discover how Technical Analysis can help you anticipate market movements and become a winning trader NOW! Are you tired of losing money in the stock market? Have you tried countless trading methods and none of them work? Get rid of everything that didn't work for you and learn a professional approach: THE WYCKOFF METHOD. Ruben Villahermosa, Amazon bestseller and independent trader, has refined and improved some of the most powerful concepts of stock trading and makes them available to you in this book so that you too can benefit. In this book you will learn... How financial markets work. Advanced concepts about price and volume. The 3 fundamental laws. How the accumulation and distribution processes develop. The 7 fundamental market events. The 5 phases of price structures. The 3 operating zones. How to manage the position. And much more...! Imagine that you open a chart and immediately you know if you should buy or sell. Imagine you know at all times who is in control of the market. Imagine you confidently run scenarios to anticipate price movements. If you are ready to challenge yourself BUY THE BOOK NOW! The book you need to beat the market In the financial markets knowing what the big trader is likely to be doing is critical. With this book you will learn to identify them and you will be able to increase your profits considerably. The best book on Advanced Technical Analysis Thanks to the accumulation and distribution schemes we will be able to identify the participation of the professional as well as the general sentiment of the participants up to the present moment, enabling us to assess as objectively as possible who is most likely to be in control. The events and phases are unique to the methodology and help us to chart the development of the structures. This puts us in a position to know what to expect the market to do following the occurrence of each of them, giving us a roadmap to follow at all times. The structures are formed by events and phases and are some forms of representation on the chart of the continuous interaction between the different participants. How to do technical analysis in financial markets This book is the result of having studied a multitude of resources on this approach in addition to my own research and experience after having faced the market for years implementing this strategy. All this has allowed me to refine and improve some of the more primitive concepts of the methodology to adapt them to today's markets and give them a much more operational and real approach.




Create Your Own Wealth


Book Description

My great purpose in writing this book is to give you concrete and very specific tools for a simple and practical way to begin your success in the stock market. For you to also understand the management of these tools that only a privileged minority use almost in secret, to earn a lot of money. Are you ready? Prepare yourself, I will take you from the very basics to the most complex so that you may begin your path to economic progress; which is not easy, but is worth knowing. Once you have learned the way, I assure you, you will differ from 90% of the people. You will no longer prefer, like them, to hand your money over to others to obtain average gains without you becoming aware of what is really happening in the financial world.




Investing in Dividends


Book Description

Do you want to know the best strategy to achieve financial freedom? With this book you will learn the actions you need to build a portfolio capable of retiring. In addition, if you have the paper edition, you can use the book as a notebook, since it has blank spaces specially designed for you to make notes on your favorite companies. Dividend investing is easy if you know how. Take advantage of the work of the best companies in the world, leverage the knowledge of this great author and enjoy the benefits of your money working for you, even when you sleep.




Trading Risk


Book Description

Revolutionary techniques that traders can implement to improve profits and avoid losses No trader, professional or individual, can afford not to have a solid risk management program integrated into his or her trading system. But finding a precise mathematical model to replace subjective decision-making processes is a challenge. Traditionally, risk management has focused solely on loss avoidance, but in Trading Risk, hedge fund risk manager Kenneth Grant presents some-thing completely new—how to manage a portfolio to minimize risk and increase profits by putting more capital at risk. Trading Risk details a risk management program that can help both money managers and individual traders evaluate which elements in a portfolio are working efficiently and which aren’t. By illustrating an extremely simple set of statistical and arithmetic tools this book can help readers enhance their performance in many financial markets. Kenneth L.Grant is Cheyne’s Global Risk Manager, and is the Managing Member for Cheyne Capital, LLC, the firm’s U.S. arm. Mr. Grant is a pioneer in the field of hedge fund risk management and capital allocation. Before joining Cheyne, he created risk control programs at two of the world’s leading hedge funds, Tudor Investments and SAC Capital, where he was eventually promoted to the title of Chief Investment Strategist. Mr. Grant holds a Bachelor of Science in Economics and Mathematics from the University of Wisconsin, an MA in Economics from Columbia University, and an MBA from the University of Chicago Graduate School of Business.




Aprenda a Invertir En La Bolsa de Valores


Book Description

Aprenda a invertir en la bolsa de valores, es un libro que va a enseñar a usted, desde el principio a como invertir; sin que usted tenga ningún conocimiento de como invertir en la bolsa de valores. Este libro lo va a llevar paso a paso hasta usted convertirse en un professional en el analisis técnico. El libro Aprenda a invertir en la bolsa de valores, esta basado en como analizar tecnicamente el movimiento del stock, utilizando los candlesticks, les enseñara el momento de comprar stocks a un precio bajo y vender a un precio mas alto. Tambien como ganar dinero cuando las compañías esten en mala situación. Este libro esta enfocado a explicarles en que forma se mueven las compañías que conforman la economia, por medio de las gráficas. Con este libro también; aprenderan a poner ordenes por medio de un broker para comprar y vender stocks de la compañía que usted lo requiera. Hispanic Investors, LLC es un grupo de inversionistas hispanos, que bienen invirtiendo en la bolsa de valores por años y quisierón compartir sus conocimientos del analisis técnico por medio de este libro, con todas las personas hispanas que quieran superarse. Para cualquier consulta, pregunta o comentario, referente al libro. Hispanic Investors LLC esta para ayudarlos, escribanos a nuestro e-mail ( correo electronico ). [email protected] [email protected]




The Rules of Money


Book Description

"Templar presents 100 golden behaviors for creating wealth, making it grow, and making it last--rules that work and techniques readers can begin using immediately"--Publisher description.




Gana Dinero en Bolsa


Book Description

Con este libro aprenderás a invertir con sentido común en compañías de calidad que poseen ventajas competitivas duraderas Para invertir con éxito en acciones de empresas es necesaria una estrategia de inversión basada en el conocimiento de los mercados y en el análisis de compañías. Encontrarás las técnicas más utilizadas por los mejores inversores de la historia junto a otras estrategias ganadoras según la aversión al riesgo de cada persona, así como los errores más comunes desde la psicología conductual para evitar cometerlos. Se describirán las ratios financieras más relevantes para la búsqueda de compañías y cómo utilizarlas para crear una cartera de acciones ganadoras. Además, conocerás la irracionalidad de los mercados y cómo aprovecharla para la compra de acciones a precios razonables. Sabrás valorar compañías y detectar aquellas que estén infravaloradas, conocerás las razones por las que hay que vender las acciones en determinados casos y cuándo detectarlo, aprenderás sobre la formación de burbujas y su relación con los ciclos económicos, junto a su relación con los mercados y los mejores momentos donde podemos encontrar buenas acciones con descuento. Gana dinero en bolsa propone distintas estrategias de inversión, desde la inversión en dividendos hasta la inversión en valor o crecimiento, con múltiples ejemplos y compañías analizadas, junto a sectores en auge para esta década. El autor Marco Garrido es físico e inversor, apasionado por las finanzas desde muy joven. Una vez finalizó sus estudios de licenciatura, hizo un posgrado en una especialidad médica, Radiofísica Hospitalaria. Posteriormente, empezó a estudiar economía y finanzas de forma autodidacta, a la vez que iba participando y escribiendo en distintos foros de bolsa. Su filosofía de inversión está muy influenciada por exitosos inversores como Peter Lynch o Joel Greenblatt. Entre sus distintas estrategias, una de las más utilizadas se basa en la búsqueda de compañías de alto crecimiento que aporten valor a los accionistas a largo plazo, no pagando cualquier precio por ello. Invierte en empresas con mucho potencial que coticen a precios infravalorados o razonables. A pesar de su entusiasmo por la bolsa desde hace muchos años, cuando estudiaba bachillerato, no fue hasta 2012 cuando se inició en las primeras compras de acciones ordinarias de compañías, acumulando, desde entonces, una rentabilidad media anual por encima del 20 %.




RETRACTED BOOK: 151 Trading Strategies


Book Description

The book provides detailed descriptions, including more than 550 mathematical formulas, for more than 150 trading strategies across a host of asset classes and trading styles. These include stocks, options, fixed income, futures, ETFs, indexes, commodities, foreign exchange, convertibles, structured assets, volatility, real estate, distressed assets, cash, cryptocurrencies, weather, energy, inflation, global macro, infrastructure, and tax arbitrage. Some strategies are based on machine learning algorithms such as artificial neural networks, Bayes, and k-nearest neighbors. The book also includes source code for illustrating out-of-sample backtesting, around 2,000 bibliographic references, and more than 900 glossary, acronym and math definitions. The presentation is intended to be descriptive and pedagogical and of particular interest to finance practitioners, traders, researchers, academics, and business school and finance program students.




A New Reference Grammar of Modern Spanish


Book Description

(abridged and revised) This reference grammar offers intermediate and advanced students a reason ably comprehensive guide to the morphology and syntax of educated speech and plain prose in Spain and Latin America at the end of the twentieth century. Spanish is the main, usually the sole official language of twenty-one countries,} and it is set fair to overtake English by the year 2000 in numbers 2 of native speakers. This vast geographical and political diversity ensures that Spanish is a good deal less unified than French, German or even English, the latter more or less internationally standardized according to either American or British norms. Until the 1960s, the criteria of internationally correct Spanish were dictated by the Real Academia Espanola, but the prestige of this institution has now sunk so low that its most solemn decrees are hardly taken seriously - witness the fate of the spelling reforms listed in the Nuevas normas de prosodia y ortograjia, which were supposed to come into force in all Spanish-speaking countries in 1959 and, nearly forty years later, are still selectively ignored by publishers and literate persons everywhere. The fact is that in Spanish 'correctness' is nowadays decided, as it is in all living languages, by the consensus of native speakers; but consensus about linguistic usage is obviously difficult to achieve between more than twenty independent, widely scattered and sometimes mutually hostile countries. Peninsular Spanish is itself in flux.




An Educational Calamity


Book Description

The Covid-19 pandemic caused major disruptions to education around the world. Since the World Health Organization declared a pandemic on March 11, 2020, most students on the planet were affected by the interruption of in-person schooling. To mitigate the educational loss such interruption would cause, education authorities the world over created a variety of alternative mechanisms of education delivery. They did so quickly and with insufficient knowledge about what would work well, for which children, and for what aspects of the schooling experience.Having to create such alternative arrangements in short order was the ultimate adaptive leadership challenge, one for which no playbook existed, one for which solutions would have to be invented, rather than drawn from existing technical knowledge. The nature of the challenge differed across the world and regions, and it differed also within countries as a function of the differential public health and economic impact of the pandemic on communities, and of variations in institutional and financial resources available to redress such impact, including availability of digital infrastructure and previous knowledge and experience of teachers and students with digi-pedagogies and other resources to create alternative education delivery systems.Sustaining educational opportunities amidst these challenges created by the pandemic was an example of adaptive education response not to a unique unexpected challenge but to one in a larger class of problems, just one of the many adaptive conundrums facing communities and societies. Beyond the challenges resulting from the pandemic, other complications of that sort predating the pandemic included those resulting from poverty, inequality, social inclusion, governance, climate change, among others. In some ways, the pandemic served as an accelerant for some of those, augmenting their impact or underscoring the urgency of addressing them. Adaptive puzzles of this sort, including pandemics, are likely to continue to impact education systems in the foreseeable future. This makes it necessary to strengthen the capacity of education systems to respond to them.Reimagining education systems so they are resilient in the face of adaptive challenges is an opportunity to mobilize new talent and institutional resources. Partnerships between school systems and universities can contribute to those reimagined and more resilient systems, they can enhance the institutional capacity of education systems to devise solutions and to implement them. Such partnerships are also an opportunity for universities to be more deliberate in integrating their three core functions of research, teaching and outreach in service of addressing significant social challenges in a context in rapid flux.In this book we present the results of one approach to produce the integration between research, teaching and outreach just described, resulting from engaging graduate students in collaborations with school systems for the purpose of helping identify ways to sustain educational opportunity during the disruption caused by the pandemic. This activity engaged our students in research and analysis, contributing to their education, and it engaged them in service to society. The book examines what happened to educational opportunity during the Covid-19 pandemic in Bangladesh, Belize, the municipality of Santa Ana in Costa Rica, Guatemala, Kenya, in the States of Sinaloa and Quintana Roo in Mexico, South Africa, United Arab Emirates, and in the United States in Richardson Independent School District in Texas. It offers an systematic analysis of policy options to sustain educational opportunity during the pandemic.