Super Sectors

Super Sectors
Author: John Nyaradi
Publisher: John Wiley & Sons
Total Pages: 293
Release: 2010-09-02
Genre: Business & Economics
ISBN: 0470880325

Smart financial strategies that can secure your financial future There are more than 600 exchange traded funds on the market today, and new ones are opening every day. Total worldwide invested assets in ETFs now tops $500 billion. Written in a straightforward and accessible style, Super Sectors outlines a specialized trading system that utilizes standard and leveraged exchange traded funds in an easy-to-follow plan, so that you can identify and invest in the hottest sectors in the world. In this book, author John Nyaradi skillfully shows you how to use ETFs to take advantage of businesses and sectors that are profiting, while also minimizing risk by getting out of the same areas before they start to decline. Along the way, Nyaradi reveals how to best analyze different sectors, such as technology, utilities, industrial, energy, services, and finance, and then discusses which ETFs can help you profit from the opportunities these sectors present. The book: • Outlines an active investment management strategy that will allow you to generate steady success in any market • Details how different types of businesses profit and suffer during different business cycles • Explores how sectors rotation strategies and exchange traded funds can put you in a better position to excel financially • Includes interviews with key experts The “buy-and-hold” strategy of yesterday won’t work in today’s investment environment. Nyaradi identifies the strongest potential sectors in the future. Find out what will work with Super Sectors as your guide.

The Art of Investing

The Art of Investing
Author: Tony Pow
Publisher: Createspace Independent Publishing Platform
Total Pages: 148
Release: 2016-06-04
Genre:
ISBN: 9781533621368

This is the Sector Rotation book of the "Complete The Art Of Investing". This is Book 8 out of the 16 books.Sector rotation has been proven to make good profits at the least risk if it is properly implemented. This book improves your odds in making profits than traditional schemes in sector rotation by:* Market Timing. When the market is plunging, do not buy any stock including sector ETFs and sector funds. This book provides a simple chart to detect market plunges. Basically it is a sector rotation between SPY (an ETF that simulates the market) and cash (or an ETF of short-term bonds).* The next rotation strategy involves four ETFs in a rising market described in Chapter 4. Optionally, you can include a contra ETF to time the market. Buy the best performer of last month of the selected ETFs.* Some sectors perform better in different stages of a market cycle.* Many free sites describe the best sector performers such as Seeking Alpha and CNNfn.* Evaluate sector using Technical Analysis and Fundamental Analysis. Use the same tools to evaluate individual stocks within a performing sector - top-down investing.* You should spend one hour or two a month to determine which sector to rotate to or move your portfolio to cash when the market is risky. The "Buy and hold" strategy does not perform since 2000.* Subscription services. There are many. Even if you subscribe these services, you should read this book to evaluate their services and use this book as a second opinion. When your portfolio is over $100,000, $100 for a yearly subscription should pay itself in the long run.* Market timing by calendar and presidential cycle.* My recent experiences in sector trading. Last Update: 06/2016. Size: 145 pages (6*9)

Sector Investing, 1996

Sector Investing, 1996
Author: Sam Stovall
Publisher: McGraw-Hill
Total Pages: 260
Release: 1996
Genre: Business & Economics
ISBN: 9780070522398

Discusses the opportunities, merits, and methods of investing in "sectors," or industry groups with similar fundamental characteristics

Weekend Trend Trader

Weekend Trend Trader
Author: Nick Radge
Publisher: Radge Publishing
Total Pages: 42
Release: 2012
Genre: Business & Economics
ISBN:

The Weekend Trend Trader is a trading strategy designed for people who want a simple to follow trading plan that trades just once a week. An ideal investment strategy for people who work full time but are actively planning for their retirement. Weekend Trend Trader is designed for and tested on the US stock Market. The Weekend Trend Trader strategy is a turnkey strategy that uses no discretion. In other words the strategy has a set of rules and users should understand why they entered a trade and when and how they will exit. Because the rules are strictly and mathematically defined we are able to back test the strategy on historical data. This enables us to understand the strategy’s nuances and therefore better understand how the journey to success will be travelled. The strategy is a combination of several tools that: * ensures you will always be aligned with the trend of the broader market * enters positions at specific points and with reasonable confirmation * manages existing positions with a trailing stop loss * defends existing positions if the trend of the broader market reverses * outlines how much to invest in each position. We will fully step through each of these points in detail and slowly build the system from the ground up.

Sector Trading Strategies

Sector Trading Strategies
Author: Deron Wagner
Publisher: John Wiley & Sons
Total Pages: 115
Release: 2016-05-04
Genre: Business & Economics
ISBN: 1118538684

Introducing Deron Wagner's Sector Trading Strategies – a brilliantly simple way to target profits in every market. Wagner walks you through his strategies for charting the market sectors, helping you determine if your stock, option, or other financial product is positioned for huge profit – or actually at risk for a loss. Wagner focuses first on the skills necessary for sector trading – identifying the realm of tradeable sectors, picking the best indicators, and analyzing risk – then lays out his top three strategic methodologies for effective sector trading. To maximize the power of this guide, you'll also receive access to an interactive online review tool at Traders' Library's Education Corner. Inside, learn the nuts and bolts of successful sector trading: The basics of reciprocal relationships and how to profit from them; How to follow mutual fund and other institutional money flow to find the next big trade; How and when to rotate your investment capital and optimize your returns; How to identify strong and weak sectors to place trades that have the best possible upside; Various methods for entering and exiting positions to gain and protect profits; How to increase your daily number of trading opportunities to exploit any market condition; How ETFs and options can be leveraged to get the most from the least; How to analyze risk to increase your trading peace of mind. To obtain the trading power of the big institutions, you need Wagner's Sector Trading Strategies. With his help, you will be able to generate consistent profits no matter what the markets throw your way.

Asset Rotation

Asset Rotation
Author: Matthew P. Erickson
Publisher: John Wiley & Sons
Total Pages: 0
Release: 2014-07-21
Genre: Business & Economics
ISBN: 9781118779194

An all-weather, tactical approach to asset management utilizing Exchange Traded Funds (ETFs) In Asset Rotation, portfolio management pioneer Matthew P. Erickson demonstrates a time-tested approach to asset management that has worked throughout the history of capital markets, in good times and bad. Providing investors with strong participation in rising markets, but more importantly with a discipline to reduce participation in prolonged declines. Over time this revolutionary approach has yielded superior returns, with significantly reduced levels of risk; providing the engine for true, long-term sustainable growth. The investment world as we know it has changed, and the paradigm has shifted. What has worked in the past may no longer work in the future. No longer may bonds be regarded as a safe haven asset class, as for the first time in generations, investors in fixed income face losses as interest rates rise from historical all-time lows. For those adhering to a conventional Modern Portfolio Theory based investment approach to asset management, what was once regarded as safe and stable, may very well soon become our greatest impediment. Asset Rotation provides investors with a practical solution for today's real world problems. This tactical approach to asset management provides us with concrete proof that there is indeed a better way. We are standing on the precipice of an Investment Renaissance. What was previously impossible, is now possible. Find out how. Presents an easy-to-understand price momentum-based approach to investing Illustrates the benefits of asset rotation Offers a systematic approach for securing a sound financial future Provides further insights as to how to customize your own asset rotation portfolio Matthew Erickson gives investors a hands-on resource for how to navigate an increasingly difficult investment landscape, by providing them with keen insights into the most rapidly growing segment of the investment markets.

Sector Rotation

Sector Rotation
Author: Tony Pow
Publisher:
Total Pages: 262
Release: 2016-02-12
Genre:
ISBN: 9781530027576

Sector rotation has been proven to make good profits at the least risk if it is properly implemented. This book improves your odds in making profits than traditional schemes in sector rotation by:* Market Timing. When the market is plunging, do not buy any stock including sector ETFs and sector funds. This book provides a simple chart to detect market plunges (Chapter 2). Basically it is a sector rotation between SPY (an ETF that simulates the market) and cash (or an ETF of short-term bonds).* The next rotation strategy involves four ETFs in a rising market described in Chapter 5. Optionally, you can include a contra ETF to time the market. Buy the best performer of last month of the selected ETFs.* Some sectors perform better in different stages of a market cycle as described in Chapter 41 and 45.* Many free sites describe the best sector performers such as Seeking Alpha and CNNfn.* Evaluate sector using Technical Analysis (simple charts available free from the web described in Chapter 6-9) and Fundamental Analysis (Section III). Use the same tools to evaluate individual stocks within a performing sector - top-down investing.* You should spend one hour or two a month to determine which sector to rotate to or move your portfolio to cash when the market is risky. The "Buy and hold" strategy does not perform since 2000.* Subscription services (Chapter 11-12). There are many. Even if you subscribe these services, you should read this book to evaluate their services. When your portfolio is over $100,000, $100 for a yearly subscription should pay itself in the long run.* Market timing by calendar and presidential cycle.* My recent experiences in sector trading (Chapter 19, 30 33, and 46). * Be careful on many books on this topic were written by professors who may never make a buck in the stock market. * Some "best" sellers were written 10 years ago that do not have today's basic tools such as technical analysis and bear any resemblance to today's market, which can be manipulated by institution investors.* Most large companies today are global companies. The importance in investing foreign companies to diversify is less important than before.* When China expands, natural resource-rich countries would most likely benefit (Chapter 27 and 28).* Most similar books have one strategy and this book has 11 strategies. You can combine the strategies such as market timing with last month's best-performed sector.Last Update: 06/2016. Size: 260 pages (6*9)

Sector Rotation for Future Millionaires

Sector Rotation for Future Millionaires
Author: Tony Pow
Publisher: Readersmagnet LLC
Total Pages: 516
Release: 2020-12
Genre:
ISBN: 9781953616715

Why you want to read this book. * As of 5/2020, I made over 4 times using sector rotation starting the amount more than my yearly salary then. * I have 21 strategies on sector rotation while most books have only one. * Andrew, a columnist on the Sector Rotation at Seeking Alpha, said, "Great stuff, Tony. It's great to meet experienced traders such as yourself. I had a browse through the book and think your method is a little more refined than mine."

Dual Momentum Investing: An Innovative Strategy for Higher Returns with Lower Risk

Dual Momentum Investing: An Innovative Strategy for Higher Returns with Lower Risk
Author: Gary Antonacci
Publisher: McGraw Hill Professional
Total Pages: 238
Release: 2014-11-21
Genre: Business & Economics
ISBN: 0071849459

The investing strategy that famously generates higher returns with substantially reduced risk--presented by the investor who invented it "A treasure of well researched momentum-driven investing processes." Gregory L. Morris, Chief Technical Analyst and Chairman, Investment Committee of Stadion Money Management, LLC, and author of Investing with the Trend Dual Momentum Investing details the author’s own momentum investing method that combines U.S. stock, world stock, and aggregate bond indices--a formula proven to dramatically increase profits while lowering risk. Antonacci reveals how momentum investors could have achieved long-run returns nearly twice as high as the stock market over the past 40 years, while avoiding or minimizing bear market losses--and he provides the information and insight investors need to achieve such success going forward. His methodology is designed to pick up on major changes in relative strength and market trend. Gary Antonacci has over 30 years experience as an investment professional focusing on under exploited investment opportunities. In 1990, he founded Portfolio Management Consultants, which advises private and institutional investors on asset allocation, portfolio optimization, and advanced momentum strategies. He writes and runs the popular blog and website optimalmomentum.com. Antonacci earned his MBA at Harvard.

Point and Figure Charting

Point and Figure Charting
Author: Thomas J. Dorsey
Publisher: John Wiley & Sons
Total Pages: 403
Release: 2011-01-11
Genre: Business & Economics
ISBN: 1118044673

"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