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Cover for 9781610394802 Cover for 9781511316569 Cover for 9781511316576 Cover for 9780231172240 Cover for 9781783266999 Cover for 9781118714874 Cover for 9780415812054 Cover for 9780735205321 Cover for 9781628087512 Cover for 9780470043516 Cover for 9780471119616 Cover for 9780471412922 Cover for 9781118445709 Cover for 9781137293763 Cover for 9781118464205 Cover for 9789814401845 Cover for 9781118250075 Cover for 9783631622490 Cover for 9780071791977 Cover for 9789814405454 Cover for 9789814417457 Cover for 9780071790192 Cover for 9780199844333 Cover for 9780199844401 Cover for 9781422115022 Cover for 9781118099056 Cover for 9781118004777 Cover for 9783790826463 Cover for 9780471211334 Cover for 9780471421306
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Product Description: In his new book, investment expert Jim Jubak explores the “new normal” of market volatility. With remarkable insights into the zeitgeist of financial markets and the economy, Jubak combines the big macro trends with the more mundane aspects of life to depict why volatility is here to stay, why things are not going to get any calmer soon, and how you can make investing decisions to profit off this new reality...read more

Hardcover:

9781610394802 | Public Affairs, January 26, 2016, cover price $28.99 | About this edition: Stunning volatility is the new “fact of life” that defines our age.

CD/Spoken Word:

9781511316576 | Mp3 una edition (Brilliance Audio, January 26, 2016), cover price $24.99
9781511316569 | Unabridged edition (Brilliance Audio, January 26, 2016), cover price $29.99 | About this edition: In his new book, investment expert Jim Jubak explores the “new normal” of market volatility.

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Product Description: Stock Markets, Investments and Corporate Behavior examines the nature of stock market growth and decline, the function of financial markets, and their implications for commercial companies. Traditionally, finance academics have attempted to understand financial markets and commercial companies as physicists approach their subject matter: with a set of laws in mind that govern the field...read more

Hardcover:

9781783266999 | Imperial College Pr, December 29, 2015, cover price $125.00 | About this edition: Stock Markets, Investments and Corporate Behavior examines the nature of stock market growth and decline, the function of financial markets, and their implications for commercial companies.

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Product Description: Harry Boxer's proven techniques for short-term traders Written in easy-to-understand language, Profitable Day and Swing Trading + Website explains the trading tactics that draw on price, volume, and pattern recognition. Highly regarded trader Harry Boxer offers the information needed to recognize chart patterns, identify trades, and execute entries and exits that will maximize profits and limit losses...read more

Paperback:

9781118714874 | Pap/psc edition (John Wiley & Sons Inc, July 28, 2014), cover price $70.00 | About this edition: Harry Boxer's proven techniques for short-term traders Written in easy-to-understand language, Profitable Day and Swing Trading + Website explains the trading tactics that draw on price, volume, and pattern recognition.

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Product Description: In today's aggressive marketplace, listed companies can no longer rely on their numbers to do the talking. If companies can't communicate their achievements and strategy, mounting research evidence suggests, they will be overlooked, their cost of capital will increase and stock price will suffer...read more

Hardcover:

9780415812054 | Routledge, April 16, 2014, cover price $160.00 | About this edition: In today's aggressive marketplace, listed companies can no longer rely on their numbers to do the talking.

Paperback:

9780415812061 | Routledge, March 27, 2014, cover price $65.95

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"Everyone who's involved in financial markets must understand Point and Figure charting in order to get the full picture, whatever your view of technical analysis". - Jim Rogers, author of Hot Commodities and Investment Biker "An invaluable road map for managing risk in the markets. Tom's methodology has given us the discipline and confidence to look around corners for our clients for almost twenty years." - James A. Parish, President and COO, Morgan Keegan & Co., Private Client Group "Tom Dorsey continues to be one of the foremost authorities on Point and Figure charting. His relative strength analyses are essential for investors and traders alike. Furthermore, I always want to know what his NYSE Bullish Percent Indicators is "saying." - Lawrence G. McMillan, President, McMillan Analysis Corp., www.optionstrategist.com "Tom Dorsey has done it again... he has taken his 30-plus years of unending devotion, talents, and insights in technical analysis and applied them to Exchange Traded Funds. He begins with the history of ETFs, explains how different they are from mutual funds, and then applies his expertise in Point and Figure charting to help traders and investors time their purchases and sales." - Ralph J. Acampora, CMT, Director of Technical research, Knight Capital "Reading Tom Dorsey's Point & Figure Charting is the like procuring a road map before you begin a journey. It's a comprehensive look at how to succeed in the markets. This book is not only essential but easy to follow for everyone." - Paulo Pinto, CEO, Dif Broker "Point and Figure Charting has become a valuable part of my daily trading routine. As an investment professional, it makes perfect sense to use Tom's methods in conjunction with fundamental analysis." - Damion Carufe, Investment Professional

Hardcover:

9781118445709 | 4th edition (John Wiley & Sons Inc, July 29, 2013), cover price $70.00
9780470043516 | 3 har/cdr edition (John Wiley & Sons Inc, March 30, 2007), cover price $75.00 | About this edition: "Everyone who's involved in financial markets must understand Point and Figure charting in order to get the full picture, whatever your view of technical analysis".
9780471412922 | 2 edition (John Wiley & Sons Inc, June 1, 2001), cover price $59.95
9780471119616 | John Wiley & Sons Inc, June 1, 1995, cover price $59.95 | also contains Biomes and Habitats

Miscellaneous:

9780470125748, titled "Point & Figure Charting: The Essential Application for Forecasting and Tracking Market Prices" | 3 edition (John Wiley & Sons Inc, June 22, 2007), cover price $70.00

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Product Description: The current financial crisis started from the US real estate market and after, though the increase of risk premium requested by investors and due to the lack of liquidity of all financial markets, it became a world financial crisis...read more

Hardcover:

9781137293763 | Palgrave Macmillan, March 29, 2013, cover price $115.00 | About this edition: The current financial crisis started from the US real estate market and after, though the increase of risk premium requested by investors and due to the lack of liquidity of all financial markets, it became a world financial crisis.

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Product Description: Based on extensive feedback from teachers, these popular A Level titles have been written by the experienced team that produced SMP Interact for GCSE. These are clear, user-friendly texts that both teacher and student will enjoy using...read more

Hardcover:

9789814401845 | World Scientific Pub Co Inc, December 4, 2012, cover price $98.00 | About this edition: Based on extensive feedback from teachers, these popular A Level titles have been written by the experienced team that produced SMP Interact for GCSE.

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Product Description: A must-read book for investors who prefer to pick stocks based on cash flow facts, not on media hype and fiction "How to Pick a Stock" is written for the contrarian investor who wants an investing method that is based on cash flow facts, not on media hype and speculative impulse...read more

Hardcover:

9781118250075 | John Wiley & Sons Inc, October 23, 2012, cover price $70.00 | About this edition: A must-read book for investors who prefer to pick stocks based on cash flow facts, not on media hype and fiction "How to Pick a Stock" is written for the contrarian investor who wants an investing method that is based on cash flow facts, not on media hype and speculative impulse.

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Product Description: This dissertation comprises five studies analyzing daily stock returns of listed firms. Studies one and two shed light on corporate diversification through M&A and how related risk dynamics affect shareholder wealth. Carrying over the risk analysis methodology ‘GARCH’ to external events in studies three and four, the author individually scrutinizes the adverse implications of bank failures and bailouts in the 2007-2009 financial crisis...read more

Hardcover:

9783631622490 | Peter Lang Pub Inc, September 6, 2012, cover price $60.95 | About this edition: This dissertation comprises five studies analyzing daily stock returns of listed firms.

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Product Description: This book discusses calendar or seasonal anomalies in worldwide equity markets as well as arbitrage and risk arbitrage. A complete update of US anomalies such as the January turn-of-the year, turn-of-the-month, January barometer, sell in May and go away, holidays, days of the week, options expiry and other effects is given concentrating on the futures markets where these anomalies can be easily applied...read more

Hardcover:

9789814405454 | World Scientific Pub Co Inc, January 30, 2013, cover price $98.00 | About this edition: This book discusses calendar or seasonal anomalies in worldwide equity markets as well as arbitrage and risk arbitrage.

Paperback:

9789814417457 | World Scientific Pub Co Inc, September 24, 2012, cover price $49.95 | About this edition: This book discusses calendar or seasonal anomalies in worldwide equity markets as well as arbitrage and risk arbitrage.

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Product Description: Why do so many individual investors throw together slapdash portfolios of risky and under-researched ETFs that are utterly out of alignment with their preferred investing style? The only reasonuntil nowis that there were no reliable, step-by-step instructions for designing an ideal investment mix of ETFs...read more

Hardcover:

9780071790192 | McGraw-Hill, May 21, 2012, cover price $26.00 | About this edition: Why do so many individual investors throw together slapdash portfolios of risky and under-researched ETFs that are utterly out of alignment with their preferred investing style?

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By Douglas D. Evanoff (editor), George G. Kaufman (editor) and A. G. Malliaris (editor)

Hardcover:

9780199844333 | Oxford Univ Pr on Demand, February 8, 2012, cover price $140.00

Paperback:

9780199844401 | Oxford Univ Pr, February 8, 2012, cover price $56.00

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Product Description: A radical, definitive explanation of the link between loss aversion theory, the equity risk premium and stock price, and how to profit from it The Risk Premium Factor presents and proves a radical new theory that explains the stock market, offering a quantitative explanation for all the booms, busts, bubbles, and multiple expansions and contractions of the market we have experienced over the past half-century...read more

Hardcover:

9781118099056 | John Wiley & Sons Inc, October 4, 2011, cover price $85.00 | About this edition: A radical, definitive explanation of the link between loss aversion theory, the equity risk premium and stock price, and how to profit from it The Risk Premium Factor presents and proves a radical new theory that explains the stock market, offering a quantitative explanation for all the booms, busts, bubbles, and multiple expansions and contractions of the market we have experienced over the past half-century.

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Product Description: This contribution applies the cointegrated vector autoregressive (CVAR) model to analyze the long-run behavior and short-run dynamics of stock markets across five developed and three emerging economies. The main objective is to check whether liquidity conditions play an important role in stock market developments...read more

Hardcover:

9783790826463 | Physica Verlag, May 12, 2011, cover price $209.00 | About this edition: This contribution applies the cointegrated vector autoregressive (CVAR) model to analyze the long-run behavior and short-run dynamics of stock markets across five developed and three emerging economies.

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Offers advice on personal portfolio management, including tips on determining the right price of a stock, interpreting volatility, and developing a comprehensive investment plan. (view table of contents)

Paperback:

9780471211334 | John Wiley & Sons Inc, March 1, 2002, cover price $29.95 | About this edition: Offers advice on personal portfolio management, including tips on determining the right price of a stock, interpreting volatility, and developing a comprehensive investment plan.

Miscellaneous:

9780471421306 | John Wiley & Sons Inc, October 15, 2002, cover price $29.95

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