Stephen Eckett on Online Investing

Stephen Eckett on Online Investing
Author: Stephen Eckett
Publisher: Harriman House Limited
Total Pages: 292
Release: 2002-06
Genre: Business & Economics
ISBN: 9781897597149

In Stephen Eckett's bi-weekly column for Investors Chronicle he answers readers' questions about internet investing. Often they are problems which are driving readers mad, but which can be solved very simply. This book is a collection of the most useful Q&As from the last 2 years, updated to take account of new web sites and changing technology. In Stephen Eckett's bi-weekly column for Investors Chronicle he answers readers' questions about internet investing. Often they are problems which are driving readers mad, but which can be solved very simply. This book is a collection of the most useful Q&As from the last 2 years, updated to take account of new web sites and changing technology. into a spreadsheet; quick ways to copy text from a web page; using more than one ISP; minimising connection charges; speeding up browsing; improving download speeds; Internet Explorer shortcuts and add-ons; keyboard shortcuts; finding lost files; the best search engines; safe ways to save data; printing charts from web pages; useful newsgroups and BBs; where to get free software; using stock screeners; using stop losses; email newsletters; tip sites; new issues; how to monitor fund prices; base values for CGT calculations; market data sources (price and volume, real-time & historic); company data sources; where to find earnings estimates; tracking directors dealings; best sites for online charts; online brokers; use of Excel for portfolio management; day trading and DAT with level II quotes; trading the US markets from the UK; ADRs; trading European markets; warrants and options; spread betting shorting; CFDs; regulation & investor compensation, and much more This could well be the most useful book of 2002 recommendations, it has a comprehensive listing of the websites which Stephen Eckett rates most highly.

The UK Trader's Bible

The UK Trader's Bible
Author: Dominic Connolly
Publisher: Harriman House Limited
Total Pages: 370
Release: 2010-12-07
Genre: Business & Economics
ISBN: 0857190873

This is the only comprehensive UK-published guide to short-term trading, combining detailed reference information with the author's advice on strategy and tactics. Every serious trader in the UK needs this book - not a nice-to-have, but a must-have! The 10 key things you will learn: - Detailed description of the different trading platforms (SEAQ, SETS, SETSmm, SEATS Plus) on the London Stock Exchange. - How to deal inside the spread in market making stocks and get the best price. - How auctions work on the London Stock Exchange platforms. - The importance of direct market access for active traders. - The secrets of programme trading, index arbitrage and block deals. - How the cash, futures, lending and derivatives markets interact. - The secrets and risks of short selling. - Which directors' deals to follow and which are irrelevant. - How to make money from takeover situations. - Secret strategies from an established and successful trader.

The 10-week Flexible Investment Plan

The 10-week Flexible Investment Plan
Author: Alexander Davidson
Publisher: Kogan Page Publishers
Total Pages: 196
Release: 2003
Genre: Business & Economics
ISBN: 9780749438852

10-Week Flexible Development offers readers a grounding in the basics of investing on the stock market. The author has constructed a ten-step investment plan, incorporating quizzes along the way to make sure the reader is up to speed. He also advises on how to interpret company accounts.

Investing Online

Investing Online
Author: Stephen Eckett
Publisher: FT Press
Total Pages: 580
Release: 1997
Genre: Business & Economics
ISBN: 9780273625582

The first comprehensive, global guide to the expanding world of finance on the Internet.

Stock Market Investing for Beginners

Stock Market Investing for Beginners
Author: Stephen Satoshi
Publisher: scott m ecommerce
Total Pages: 94
Release: 2018-03-06
Genre: Business & Economics
ISBN:

We’re gearing up to profit from the upcoming stock market crash. Are you? Dear investor, What I’m about to tell you SUCKS. But not listening to this message will affect your financial future. In fact, ignoring this advice could cost you thousands, tens of thousands or even hundreds of thousands of dollars - depending on the size of your portfolio. You see, within the next 36 months there will be a stock market crash. All indicators show this is now a matter of when, rather than if. Wages are stagnating across the country. And the housing supply is beginning to outpace demand for the first time since 2008. These aren’t just my opinions. They are shared by many Wall Street experts, including billionaire investors like Jim Rogers and Doug Casey. What’s more alarming is… The numbers indicate this crash will be worse than 2008. Which wiped out over $7 trillion dollars of investor money. So leaving your portfolio exposed… Will cause you to lose money faster than if you threw it off the edge of a cliff! However, it’s not all doom and gloom. A few select investors, considered the smartest in the world…will not just survive the crash… They will thrive in the crash. For years their secrets have been closely guarded… But now you can benefit from the exact same strategies they use to protect…and even grow their wealth in a market downturn. The same strategies you can use to bulletproof your retirement. Strategies including: The “3 Rs” stocks which perform best in a bad market - Page 33 How to use cryptocurrency to hedge against your traditional portfolio - Page 59 The absolute worst type of stock to have in your portfolio, and one that always plummets during a downturn - Page 46 How regular folks can legally benefit from holding assets offshore - Page 41 The easiest way for the average investor to short the market (so simple, yet relatively unknown) - Page 31 The “pennies on the dollar method” to buy blue chip stocks at a huge discount (used by elite investors all the time) - Page 26 The asset which has become a favorite of billionaire crisis investors, and how you can invest using your regular brokerage account - Page 55 You’ll also discover: 3 vital indicators which show us a market crash is imminent - Page 14 Stocks that need a growing market to prosper, and why you need to rebalance your portfolio if you hold a lot of them - Page 48 The 10 items you need to have a “go-bag”. And why not being prepared may cost you dearly - Page 75 ….and much, much more. Plus you’ll receive 2 free bonuses! Can you afford to suffer through another financial crisis? Can you afford to set your retirement back by 5 or even 10 years? If the answer is no, then click “add to cart” to see how you can thrive during the next market crash!

How to Win as a Stock Market Speculator

How to Win as a Stock Market Speculator
Author: Alexander Davidson
Publisher: Kogan Page Publishers
Total Pages: 314
Release: 2005-11-03
Genre: Business & Economics
ISBN: 9780749444945

City expert Alex Davidson reveals the secrets of making money as a stock market speculator. Offering trading methods for up and down markets, the guide equips the reader to trade like a professional, showing which financial instruments to use, and how to limit losses and maximize gains.

Buy--DON'T Hold

Buy--DON'T Hold
Author: Leslie N. Masonson
Publisher: FT Press
Total Pages: 241
Release: 2010-03-01
Genre: Business & Economics
ISBN: 0138028923

Buy-and-hold investors hope for the best over the long-term, but unfortunately, every three to four years, like clockwork, bear markets decimate their portfolios. In the last decade, there were two devastating bear markets that wiped out 50% of investor portfolio values, not once but twice. These huge losses resulted in millions of investors having to delay their retirement plans, postpone funding of college education for children and grandchildren, and delay life’s many joys. You simply can't afford to be invested during these inevitable, large-scale declines. Now, you can use an easy-to-use investing strategy that delivers better returns with far less risk than "buy and hold." Leslie N. Masonson, stock market investor, researcher and author, helps you regain control over your portfolio using low-cost, low-risk, ETFs selected with his unique “Stock Market Dashboard" that reliably signals market bottoms and tops - and can tell you exactly when to get in and out. When it is time to invest, Masonson shows how to use Relative Strength Analysis to purchase the strongest ETF market segments with the best growth potential. He provides a specific investing approach and strategy for individuals with three different levels of risk tolerance: conservative, moderate and aggressive. Replete with examples, Buy-Don't Hold contains all the easy-to-use information you need to craft an investing strategy that meets your needs, lets you sleep at night, and reaps rewards in bull and bear markets alike. Stock Trader’s Almanac 2011 Top Investment Book

The Harriman House Book of Investing Rules

The Harriman House Book of Investing Rules
Author: Philip Jenks
Publisher: Harriman House Limited
Total Pages: 512
Release: 2008
Genre: Business & Economics
ISBN: 1905641222

For the first time, the tactics, strategies and insightsrelied on by 150 of the world's most respected financialexperts are revealed in a concise, digestible form. Learnhow you really make money in the markets from: fundmanagers of billion-pound equity funds; traders in theoptions and futures markets; industry-rated analysts;economists ......

The Global-Investor Book of Investing Rules

The Global-Investor Book of Investing Rules
Author: Philip Jenks
Publisher: FT Press
Total Pages: 514
Release: 2002
Genre: Business & Economics
ISBN: 0130094013

Profiles of 150 successful fund managers, traders, analysts, economists, and investment experts offer advice, techniques, and ideas to increase returns and control risks in investing. Some of the areas of specialty discussed include international markets and capital flows, company valuation, liquidi

The Complete Guide to Point-and-Figure Charting

The Complete Guide to Point-and-Figure Charting
Author: Heinrich Weber
Publisher: Harriman House Limited
Total Pages: 261
Release: 2003-09-30
Genre: Business & Economics
ISBN: 1897597282

The aim of this book is to explain point-and-figure charting to European investors and traders, and to show why it is the most reliable technical tool for timing entry and exit points in stocks, indices and other securities. The book is written for all levels of trader, from the novice to the experienced. It starts by explaining the basics of point-and-figure, and by showing its advantages over other types of chart. Readers are then given step-by-step instructions on how to start a point-and-figure chart from simple price data, and how to add to it day-by-day using simple rules based on end of day highs and lows. The emphasis is on simplicity and clarity. The section on chart interpretation introduces the basic buy and sell signals, and goes on to explain the more complex signals, in each case illustrating the pattern, and the precise entry and exit points, with colour charts from FTSE stocks and indices. It also shows how trend lines are incorporated into a chart. The latest point-and-figure trading techniques are covered in depth. The authors show how to: use horizontal and vertical counts to estimate the size of price moves, use stop-orders to protect positions, use pyramiding to maximise profitable trends, and use swing trading in combination with p&f. They also show how to adapt your trading style to the amount of capital you have available and to your risk tolerance. In the later sections of the book, the authors concentrate on optimisation of p&f trading and the avoidance of the most common trap - 'over-fitting' - and on analysis of the profitability of p&f trading. They demonstrate conclusively that point and figure, correctly applied, produces consistent and reliable profits across a variety of markets. In summary, Heinrich Weber & Kermit Zieg's book is the definitive guide to the theory and application of point-and-figure charting. It is especially welcome for UK and European traders, since it uses recent charts of FTSE and European securities as examples, and includes hitherto unpublished research on p&f's applicability to European securities.