The trend following bible how professional traders compound wealth and manage risk /
Сохранить в:
Главный автор: | Abraham, Andrew |
---|---|
Соавтор: | ebrary, Inc |
Формат: | Электронный ресурс eКнига |
Язык: | английский |
Опубликовано: |
Hoboken, N.J. :
John Wiley & Sons, Inc.,
2013.
|
Серии: | Wiley trading series
|
Предметы: | |
Online-ссылка: | An electronic book accessible through the World Wide Web; click to view |
Метки: |
Добавить метку
Нет меток, Требуется 1-ая метка записи!
|
Схожие документы
Investment theory and risk management
по: Peterson, Steven P.
Опубликовано: (2012)
по: Peterson, Steven P.
Опубликовано: (2012)
Understanding risk : the theory and practice of financial risk management /
по: Murphy, David
Опубликовано: (2008)
по: Murphy, David
Опубликовано: (2008)
Modern portfolio theory foundations, analysis, and new developments + website /
по: Francis, Jack Clark
Опубликовано: (2013)
по: Francis, Jack Clark
Опубликовано: (2013)
How to write an investment policy statement
по: DiBruno, Rocco
Опубликовано: (2013)
по: DiBruno, Rocco
Опубликовано: (2013)
Portfolio management in practice
по: Brentani, Christine
Опубликовано: (2004)
по: Brentani, Christine
Опубликовано: (2004)
Security analysis and portfolio management /
по: Fischer, Donald E.
Опубликовано: (1991)
по: Fischer, Donald E.
Опубликовано: (1991)
Institutional money management an inside look at strategies, players, and practices /
Опубликовано: (2011)
Опубликовано: (2011)
Investment manager analysis a comprehensive guide to portfolio selection, monitoring, and optimization /
по: Travers, Frank J.
Опубликовано: (2004)
по: Travers, Frank J.
Опубликовано: (2004)
Modern portfolio theory and investment analysis /
Опубликовано: (2005)
Опубликовано: (2005)
Modern portfolio theory and investment analysis /
Опубликовано: (2003)
Опубликовано: (2003)
Practical portfolio performance measurement and attribution /
по: Bacon, Carl R.
Опубликовано: (2008)
по: Bacon, Carl R.
Опубликовано: (2008)
Alternative assets investments for a post-crisis world /
по: Fraser-Sampson, Guy
Опубликовано: (2011)
по: Fraser-Sampson, Guy
Опубликовано: (2011)
The Motley Fool million dollar portfolio : how to build and grow a panic-proof investment portfolio. /
по: Gardner, David, 1966-
Опубликовано: (2009)
по: Gardner, David, 1966-
Опубликовано: (2009)
Investment portfolio selection using goal programming : an approach to making investment decisions /
по: Azmi, Rania Ahmed
Опубликовано: (2013)
по: Azmi, Rania Ahmed
Опубликовано: (2013)
Lucretius and Shakespeare on the nature of things /
по: Shoaf, R. Allen
Опубликовано: (2014)
по: Shoaf, R. Allen
Опубликовано: (2014)
The sector strategist using new asset allocation techniques to reduce risk and improve investment returns /
по: McIntosh, Timothy J.
Опубликовано: (2012)
по: McIntosh, Timothy J.
Опубликовано: (2012)
A trader's money management system how to ensure profit and avoid the risk of ruin /
по: McDowell, Bennett, 1957-
Опубликовано: (2008)
по: McDowell, Bennett, 1957-
Опубликовано: (2008)
Market sense and nonsense how the markets really work (and how they don't) /
по: Schwager, Jack D., 1948-
Опубликовано: (2013)
по: Schwager, Jack D., 1948-
Опубликовано: (2013)
Rational investing : the subtleties of asset management /
по: Langlois, Hugues, 1983-, и др.
Опубликовано: (2017)
по: Langlois, Hugues, 1983-, и др.
Опубликовано: (2017)
Pioneering portfolio management : an unconventional approach to institutional investment /
по: Swensen, David F.
Опубликовано: (2009)
по: Swensen, David F.
Опубликовано: (2009)
Applied equity analysis and portfolio management : tools to analyze and manage your stock portfolio /
по: Weigand, Robert A.
Опубликовано: (2014)
по: Weigand, Robert A.
Опубликовано: (2014)
Investment leadership and portfolio management the path to successful stewardship for investment firms /
по: Singer, Brian D.
Опубликовано: (2010)
по: Singer, Brian D.
Опубликовано: (2010)
Quantitative equity investing techniques and strategies /
по: Fabozzi, Frank J.
Опубликовано: (2010)
по: Fabozzi, Frank J.
Опубликовано: (2010)
Frontiers of modern asset allocation
по: Kaplan, Paul D.
Опубликовано: (2012)
по: Kaplan, Paul D.
Опубликовано: (2012)
Extreme financial risks and asset allocation /
по: Le Courtois, Olivier, и др.
Опубликовано: (2014)
по: Le Courtois, Olivier, и др.
Опубликовано: (2014)
Portfolio management /
по: Barua, Samir K.
Опубликовано: (1992)
по: Barua, Samir K.
Опубликовано: (1992)
Advances in portfolio construction and implementation
Опубликовано: (2003)
Опубликовано: (2003)
Swing and day trading evolution of a trader /
по: Bulkowski, Thomas N., 1957-
Опубликовано: (2013)
по: Bulkowski, Thomas N., 1957-
Опубликовано: (2013)
Efficient asset management: a practical guide to stock portfolio optimization and asset allocation
по: Michaud, Richard O., 1941-
Опубликовано: (2008)
по: Michaud, Richard O., 1941-
Опубликовано: (2008)
Investors and markets portfolio choices, asset prices, and investment advice /
по: Sharpe, William F.
Опубликовано: (2008)
по: Sharpe, William F.
Опубликовано: (2008)
Portfolio investment opportunities in managed futures
по: Darst, David M.
Опубликовано: (2013)
по: Darst, David M.
Опубликовано: (2013)
Managing equity portfolios : putting behavioral finance to work /
по: Ervolini, Michael A., 1955-
Опубликовано: (2014)
по: Ervolini, Michael A., 1955-
Опубликовано: (2014)
High-frequency trading a practical guide to algorithmic strategies and trading systems /
по: Aldridge, Irene, 1975-
Опубликовано: (2013)
по: Aldridge, Irene, 1975-
Опубликовано: (2013)
Multi-asset investing : a practitioner's framework /
по: Gupta, Pranay, 1966-, и др.
Опубликовано: (2016)
по: Gupta, Pranay, 1966-, и др.
Опубликовано: (2016)
The most important thing illuminated : uncommon sense for the thoughtful investor /
по: Marks, Howard, 1946-
Опубликовано: (2013)
по: Marks, Howard, 1946-
Опубликовано: (2013)
The intelligent portfolio practical wisdom on personal investing from Financial Engines /
по: Jones, Christopher L., 1967-
Опубликовано: (2008)
по: Jones, Christopher L., 1967-
Опубликовано: (2008)
The most important thing uncommon sense for thoughtful investors /
по: Marks, Howard, 1946-
Опубликовано: (2011)
по: Marks, Howard, 1946-
Опубликовано: (2011)
Portfolio risk analysis
по: Connor, Gregory
Опубликовано: (2010)
по: Connor, Gregory
Опубликовано: (2010)
Multi-asset investing a practical guide to modern portfolio management /
по: Lustig, Yoram
Опубликовано: (2013)
по: Lustig, Yoram
Опубликовано: (2013)
Inside the black box a simple guide to quantitative and high-frequency trading /
по: Narang, Rishi K., 1974-
Опубликовано: (2013)
по: Narang, Rishi K., 1974-
Опубликовано: (2013)
Схожие документы
-
Investment theory and risk management
по: Peterson, Steven P.
Опубликовано: (2012) -
Understanding risk : the theory and practice of financial risk management /
по: Murphy, David
Опубликовано: (2008) -
Modern portfolio theory foundations, analysis, and new developments + website /
по: Francis, Jack Clark
Опубликовано: (2013) -
How to write an investment policy statement
по: DiBruno, Rocco
Опубликовано: (2013) -
Portfolio management in practice
по: Brentani, Christine
Опубликовано: (2004)