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Better Stock Trading Money and Risk Management [Hardcover]

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  • Category: Books (Business & Economics)
  • Author:  Guppy, Daryl
  • Author:  Guppy, Daryl
  • ISBN-10:  0470821019
  • ISBN-10:  0470821019
  • ISBN-13:  9780470821015
  • ISBN-13:  9780470821015
  • Publisher:  Wiley
  • Publisher:  Wiley
  • Pages:  352
  • Pages:  352
  • Binding:  Hardcover
  • Binding:  Hardcover
  • Pub Date:  01-Jun-2003
  • Pub Date:  01-Jun-2003
  • SKU:  0470821019-11-MPOD
  • SKU:  0470821019-11-MPOD
  • Item ID: 101370893
  • List Price: $75.00
  • Seller: ShopSpell
  • Ships in: 2 business days
  • Transit time: Up to 5 business days
  • Delivery by: Jul 12 to Jul 14
  • Notes: Brand New Book. Order Now.
An in-depth examination of money management methods for consistent trading success

In Better Stock Trading, Daryl Guppy shows readers how to improve returns by using good money management techniqueâ??not by increasing risk in trying to win more trades. Readers will learn how to level the market playing field by using the best money management strategies for their particular account size. From the straightforward two percent rule, to pyramiding methods, and overall portfolio management, Guppy presents a selection of strategies, which will allow any independent trader to capitalize on a rising market and protect funds when the bear takes over. He also shows readers how to study their own trading history and use this information to improve their trading future. Trading skill counts, but money management gives independent traders the edge.

Daryl Guppy (Australia) is an experienced and highly successful private trader. A member of IFTA and the Australian Technical Analyst's Association, he is a popular speaker at international trading seminars in Australia and the Asia Pacific region. He is the author of five highly successful trading titles, including Market Trading Tactics (0-471-84663-5), and is the Editorial Director of The Investors' International Bookshelf.Foreword by Martin J. Pring
Preface: Cash stacks

PART 1 PERFORMANCE PROFILING
Chapter 1 Boom or bust?
Chapter 2 Risk with style
Chapter 3 Mix ‘n’ match
Chapter 4 Risk in time
Chapter 5 Equity curves

PART 2 PROTECT CAPITAL
Chapter 6 Risk and uncertainty
Chapter 7 Flinch points
Chapter 8 Securing capital
Chapter 9 Danger on the detour

PART 3 PROTECT PROFITS
Chapter 10 Exit greed
Chapter 11 PlÓ[

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