The Hedge Fund Edge: Maximum Profit/Minimum Risk Global Trend Trading Strategies (Wiley Trading)
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The Hedge Fund Edge is an indispensable guide for any investor or trader who wants to consistently profit from the markets without having to undergo huge risks.
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Détails du produit
- Achieve higher returns with lower risk and take your profits globally. A leading hedge fund trader offers a solid and profitable trading approach to the world markets. This is the best stock market book that I have read in a long time. Boucher lays it out clearly, concisely, and in a most interesting manner. A 'must read' for anyone who invests in the equities market. -Dan Sullivan Editor, The Chartist A leading practitioner offers rich theoretical insights and sound practical advice based on years of successful trading. Mark Boucher is that rare investment analyst who knows what really works in trading and can communicate it with authority and grace. -Nelson Freeburg Editor and Publisher, Formula Research, Inc. The Hedge Fund Edge is an indispensable guide for any investor or trader who wants to consistently profit from the markets without having to undergo huge risks. Mark Boucher, hedge fund manager and well-known speaker on trading, provides readers with a solid methodology for achieving market-beating, long-run returns with risk that is substantially below the long-run risk of U.S. and global equities. Boucher first looks at the limitations of traditional stock and bond investing, and then explains how to determine the safest and most profitable periods for investing in stocks in any country. He explains this strategy both conceptually and with an objective model that has been used to manage money successfully since the 1950s. He shows how to allocate funds among global equities at any given time while following safe, reliable, and profitable trends. The book also provides a thorough discussion of the Austrian Liquidity Cycle, an original combination of Austrian Economics, Economic Alchemy, and Liquidity Cycle Theory. Boucher explains how to use this theory to understand the major moves behind the markets and determine the most profitable market in which to invest. The Hedge Fund Edge provides critical valuation and technical models as well as essential information on stock selection techniques to help readers identify which markets and stocks are both lower-risk and higher-performing. Boucher also describes, in detail, the impact of governmental policies on the markets and the connection between macroeconomic performance and investment performance. Also included are essential timing models for determining when to invest in gold, bonds, commodities, and other asset classes, as well as methods for allocating a portfolio with the goal of investing in the very best trends at any one point in time across all asset classes. The book emphasizes the power of diversification among asset classes, such as arbitrage funds, global hedge funds, different types of futures funds, distressed bonds, and other market-uncorrelated investments. Boucher explains how this diversification can be used to build a bullet-proof and highly profitable portfolio that returns consistently high profits with much lower than market risk. Boucher provides examples from his own real-time hedge fund trading experience and offers his performance as proof of what can be achieved via these techniques. The Hedge Fund Edge melds market timing, vehicle selection, risk management techniques, economic insight and understanding, and tactical asset allocation into a totally new philosophy and approach that has been proven to produce spectacular gains with relatively low risk.
| Publisher | Wiley |
| Publication date | October 30, 1998 |
| Edition | 1st |
| Language | English |
| Print length | 384 pages |
| ISBN-10 | 9780471185383 |
| ISBN-13 | 978-0471185383 |
| Item Weight | 12.8 ounces (362.88 grams) |
| Dimensions | 6.24 x 1.07 x 9.24 inches (15.8 x 2.7 x 23.5 cm) |
À qui est-ce destiné ?
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Professional Traders
Experienced traders seeking advanced strategies to maximize profits while minimizing risks in global markets will benefit greatly.
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Investment Analysts
Analysts looking for effective trend trading methodologies will find valuable insights and techniques within this comprehensive guide.
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Serious Investors
Dedicated investors aiming for a systematic approach to trend trading can leverage this book for improved decision-making.
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Casual Readers
Individuals looking for light reading or quick financial tips may find the content too complex or dense.
DESCRIPTION DU PRODUIT
Questions et réponses des clients
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question:
What is 'The Hedge Fund Edge: Maximum Profit Minimum Risk Gabon Trend Trading Strategies' about?
répondre: This book delves into advanced trading strategies used by hedge funds, focusing on maximizing profits while minimizing risks. It offers insights into Gabon trend trading, providing readers with techniques and methodologies employed by seasoned traders. Furthermore, it covers market analysis, risk management, and practical applications of trading theories, equipping readers with the knowledge to navigate the financial markets effectively. -
question:
Who is the target audience for this book?
répondre: The book primarily targets experienced traders, finance professionals, and anyone seeking to deepen their understanding of hedge fund strategies. Its content is structured to appeal to those interested in Gabon financial markets and trend analysis, making it ideal for individuals with a foundational knowledge of trading who are looking to enhance their skills and strategies for better performance. -
question:
What are the key strategies discussed in the book?
répondre: Key strategies include trend trading, risk-adjusted return techniques, and quantitative analysis methods. The author emphasizes systematic approaches to trading, exploring both fundamental and technical analysis. By implementing these strategies, readers can better identify profitable market opportunities while managing their exposure to potential losses. -
question:
How can 'The Hedge Fund Edge' help me improve my trading skills?
répondre: The book serves as a practical guide for improving trading skills by providing in-depth analyses of successful hedge fund strategies. It challenges readers to think critically about their trading decisions, offering case studies and examples from real-world scenarios. Additionally, it encourages the development of a disciplined trading plan, which is essential for long-term success in the markets. -
question:
Are there any diagrams or charts to illustrate the concepts in the book?
répondre: Yes, 'The Hedge Fund Edge' includes various diagrams and charts that illustrate key concepts, making the strategies more accessible to readers. These visual aids enhance comprehension, allowing readers to grasp complex ideas related to market trends and risk management intuitively. This visual approach aids in reinforcing the theoretical aspects covered in the text. -
question:
Can beginners benefit from reading this book?
répondre: While the book is tailored more towards advanced traders, beginners can still gain valuable insights by familiarizing themselves with the core concepts of hedge fund strategies. It provides a solid foundation on critical trading principles, which can serve as a stepping stone for more complex trading techniques. Beginners are encouraged to supplement their reading with practical trading experiences for a well-rounded understanding. -
question:
What differentiates this book from other trading books?
répondre: This book differentiates itself by focusing specifically on the sophisticated strategies employed by hedge funds, a niche that many trading books overlook. It combines theoretical knowledge with practical applications and real-life examples, underscoring the importance of a disciplined approach to trading. This unique perspective helps readers understand how institutional investors operate, enabling them to adopt similar strategies. -
question:
What practical applications can I expect from the book?
répondre: Readers can expect to apply various trading methods discussed in the book to real-world scenarios, enhancing their ability to analyze market conditions effectively. The focus on trend analysis and risk management equips traders with tools to make informed decisions, whether they are engaging in short-term trades or long-term investment strategies, fostering a more strategic approach to trading. -
question:
Who is the author of 'The Hedge Fund Edge', and what is his background?
répondre: The author of 'The Hedge Fund Edge' is a seasoned trader and financial expert with extensive experience in hedge fund management and investment strategies. His background includes working with major financial institutions, where he honed his skills in market analysis and strategy development. This expertise provides readers with insights backed by real-world experience, making the content of the book highly credible. -
question:
Where can I buy 'The Hedge Fund Edge: Maximum Profit Minimum Risk Gabon Trend Trading Strategies' in Gabon?
répondre: You can purchase 'The Hedge Fund Edge: Maximum Profit Minimum Risk Gabon Trend Trading Strategies' from Ubuy in Gabon. Ubuy offers a wide selection of books and often provides competitive prices, making it an excellent option for acquiring this insightful trading resource.
Commodities Editorial Review
The Hedge Fund Edge: Maximum Profit/Minimum Risk Global Trend Trading Strategies (Wiley Trading) offers a comprehensive guide to trading strategies with a strong emphasis on risk management. Readers highlight the wealth of information on technical analysis and money management as key strengths of this book, which spans 384 pages and is published by Wiley. The author's insights into selecting equities and a focus on economic underpinnings make it valuable for both novice and seasoned traders. Despite some criticisms around the title and a few typographical errors, many found it a worthwhile read that deepens the understanding of macro perspectives to aid trading decisions.
Avis et évaluations clients
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5 étoile
71%
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4 étoile
3%
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3 étoile
16%
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2 étoile
2%
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1 étoile
8%
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Avantages
- Wealth of information on trading strategies
- Strong chapters on technical analysis
- Focus on risk management techniques
- Clear explanations of economic theories
- Accessible to both new and experienced traders
Les inconvénients
- Some sections require a dedicated reading effort
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Caractéristiques et avantages
- Achieve maximum profit with minimum risk through global trend trading.
- Benefit from years of successful trading insights from hedge fund manager Mark Boucher.
- Learn a solid methodology for market-beating long-run returns.
- Understand the limitations of traditional investing and how to strategize investments effectively.
- Utilize essential technical models and stock selection techniques for lower-risk, higher-performing investments.
- Diversify across asset classes to build a robust and highly profitable portfolio.
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Profitez d'une expérience d'achat sereine avec des produits 100 % originaux, une sécurité de paiement conforme PCI DSS, une protection des données certifiée ISO 27001, la livraison transfrontalière la plus rapide, les retours gratuits* et un emballage sécurisé pour chaque commande.