Tactical Management in the Secular Bear Market

Tactical Management in the Secular Bear Market
Author: Tahar Mjigal
Publisher: AuthorHouse
Total Pages: 274
Release: 2010-10
Genre: Business & Economics
ISBN: 1452079471

Tactical Management in the Secular Bear Market examines the following points: . The big picture of the market and economic variables that move the market. . The catalysts behind a new secular bull market . Market forecast. . Tactical management in the cyclical bear and bull markets . Global psychology management between clients and management team. . Tactical risk management in each market phase. The author has presented a framework for identifying the four market phases that identify the bear market and the two market phases that identify the bull market sufficiently detailed without being overly technical. The market phases were the platform to address the above points to analyze and make recommendations to advisors, fund managers, and professional traders. The author has included many interviews with fund managers, advisors, and professional traders in order to learn how they manage their risks, psychology, and portfolios in both good and bad markets.

Tactical Management in the Secular Bear Market

Tactical Management in the Secular Bear Market
Author: Tahar Mjigal
Publisher: AuthorHouse
Total Pages: 274
Release: 2010-10
Genre: Business & Economics
ISBN: 145207948X

Tactical Management in the Secular Bear Market examines the following points: . The big picture of the market and economic variables that move the market. . The catalysts behind a new secular bull market . Market forecast. . Tactical management in the cyclical bear and bull markets . Global psychology management between clients and management team. . Tactical risk management in each market phase. The author has presented a framework for identifying the four market phases that identify the bear market and the two market phases that identify the bull market sufficiently detailed without being overly technical. The market phases were the platform to address the above points to analyze and make recommendations to advisors, fund managers, and professional traders. The author has included many interviews with fund managers, advisors, and professional traders in order to learn how they manage their risks, psychology, and portfolios in both good and bad markets.

Investing in a Secular Bear Market

Investing in a Secular Bear Market
Author: Michael Alexander
Publisher: iUniverse
Total Pages: 143
Release: 2005
Genre: Stock exchanges
ISBN: 059534206X

How to Invest in a Secular Bear Market is a sequel to Alexander's 2000 book Stock Cycles, which forecast the start of a secular bear market, a lengthy period of poor investment performance. Alexander describes the structure of a secular bear market and explains why they happen. He then shows what an investor can expect from this secular bear market over the next 5-10 years and provides some investing strategies. "This is a brilliant and scholarly study that looks to create longer term capital gains in retirement accounts based on cycle investing. What I found particularly fascinating was the very detailed and well-researched studies on the socio-economic/cultural cycles of change throughout history. Wear your 'thinking cap' as the author shows you how to capitalize on these cycles in your IRA and 401(k) accounts." --Mohan 21st Century Futures "This is a 'must read' for anyone interested in the business cycles and their impact on investment dynamics and making money in the stock market. The book brings together multiple cycle theories in a comprehensive reading style." --Bruce Gulliver, Editor, Torpedo Watch

Investing with the Trend

Investing with the Trend
Author: Gregory L. Morris
Publisher: John Wiley & Sons
Total Pages: 496
Release: 2013-12-31
Genre: Business & Economics
ISBN: 1118508378

Investing with the Trend provides an abundance of evidence for adapting a rules-based approach to investing by offering something most avoid, and that is to answer the “why” one would do it this way. It explains the need to try to participate in the good markets and avoid the bad markets, with cash being considered an asset class. The book is in three primary sections and tries to leave no stone unturned in offering almost 40 years of experience in the markets. Part I – The focus is on much of the misinformation in modern finance, the inappropriate use of Gaussian statistics, the faulty assumptions with Modern Portfolio Theory, and a host of other examples. The author attempts to explain each and offer justification for his often strong opinions. Part II – After a lead chapter on the merits of technical analysis, the author offers detailed research into trend analysis, showing how to identify if a market is trending or not and how to measure it. Further research involves the concept of Drawdown, which the author adamantly states is a better measure of investor risk than the oft used and terribly wrong use of volatility as determined by standard deviation. Part III – This is where he puts it all together and shows the reader all of the steps and details on how to create a rules-based trend following investment strategy. A solid disciplined strategy consists of three parts, a measure of what the market is actually doing, a set of rules and guidelines to tell you how to invest based upon that measurement, and the discipline to follow the strategy

The Everyday Millionaire's Guide to Low Market Risk and Steady Returns

The Everyday Millionaire's Guide to Low Market Risk and Steady Returns
Author: Button Douglas
Publisher: Page Publishing Inc
Total Pages: 103
Release: 2015-08-24
Genre: Business & Economics
ISBN: 1681397161

This is the book that many on Wall Street may not want conservative investors to be aware of as it may affect their interest in unknowingly participating in secular bear markets. Conversely, many on Wall Street may be aware of the secular markets but not fully aware of secular bear market dynamics. Within the context of this book, many financial writers and television pundits often convey some pretty silly concepts about long term market averages. If this is your first exposure to the secular markets, this book should be an eye opener. Secular bull markets are just wonderful. Buy and hold becomes low risk. Secular bear markets are dangerous. There are periods within secular bear markets where the bear becomes docile and can be petted. What to look for is identified inside. Just be careful and wear a glove. The book was written for those who do not need to take excessive risk with what has already been hard earned. It will also be useful for newcomers and intermediates to the markets in evaluating risk. For the more adequately funded with hands on inclinations, a clearer picture of risk is presented. This book wasn’t intended to make anyone a millionaire. There is a good chance it could speed one along the way. For those already in the millionaire ranks, the information could point out previously unrecognized dangers and maybe keep one in the ranks. Unfortunately some that achieve millionaire status don’t always stay there.

Buy and Hold is Still Dead (Again)

Buy and Hold is Still Dead (Again)
Author: Kenneth R. Solow
Publisher: Morgan James Publishing
Total Pages: 347
Release: 2016-01-26
Genre: Business & Economics
ISBN: 1630478164

Status quo investing is dead, and a growing number of investors want to take advantage of the risk-reduction features of active management. In this second, expanded edition of his prophetic 2009 classic, Ken Solow reveals the secrets of the successful active manager as he walks you through the proprietary methods of his own firm. A provocative and thoughtful critique of the current state of the money management industry, "Buy and Hold is Dead (AGAIN)" remains an invaluable investment guide for our financially challenging times.

Wealth Management Manual

Wealth Management Manual
Author: Mark Diehl
Publisher:
Total Pages: 380
Release: 2006-10
Genre: Business & Economics
ISBN: 9781593304379

THE WEALTH MANAGEMENT MANUAL Many financial professionals have an agenda of their own, and they are ethical agendas. Your life insurance agent stays awake each night concerned about your premature death. Your stockbroker is constantly looking for new holdings for your portfolio and your accountant wants to help you file the most accurate tax return possible. But you need someone in your corner focused on. YOUR COMPREHENSIVE AGENDA To make matters more confusing, most financial representatives are compensated from the sales of products so you may be unsure if your are being. ADVISED OR SOLD Financial planning can be complicated, but your long-term success will be due to proper planning and implementation in four key areas. WEALTH PROTECTION WEALTH ACCUMULATION WEALTH DISTRIBUTION WEALTH TRANSFER In the Wealth Management Manual, I am joined by 14 of the nation's top CERTIFIED FINANCIAL PLANNERT Professionals. They'll answer your questions about investing, retirement planning, long-term care insurance, and the best ways to fund your kids or grandkids education. Join us in the pages of The Wealth Management Manual. It will be time well-spent.

Day Trading 103 Understanding the Bear Market

Day Trading 103 Understanding the Bear Market
Author: Daryl Richards
Publisher: Benjamin Bautista
Total Pages: 47
Release: 2024-05-28
Genre: Business & Economics
ISBN:

Navigate the complexities of market downturns with confidence and skill in "Day Trading 103: Understanding the Bear Market." This essential guide is crafted for traders who want to master the art of thriving in bearish conditions. Whether you're new to trading or an experienced trader looking to enhance your strategies, this book provides the crucial insights and techniques you need to succeed when the market takes a downturn. In this comprehensive and practical guide, seasoned trader and financial educator Daryl Richards breaks down the nuances of bear markets, offering step-by-step instructions on how to identify, analyze, and profit from these challenging periods. Through clear explanations, detailed charts, and actionable strategies, you'll learn to: Understand the Fundamentals of Bear Markets: Gain a deep understanding of what drives bear markets, how they differ from bull markets, and the economic indicators that signal a downturn. Effectively Use Technical Analysis: Learn to read charts, interpret indicators, and recognize patterns that indicate a bearish trend, allowing you to make informed trading decisions. Identify Key Market Indicators: Discover the early warning signs of a bear market, enabling you to position yourself advantageously and avoid potential losses. Develop Resilient Trading Strategies: Build and implement trading plans specifically tailored to bear markets, incorporating risk management techniques to safeguard your investments. Capitalize on Market Volatility: Understand how to leverage volatility to your advantage, turning market fluctuations into profitable trading opportunities. Utilize Advanced Tools and Techniques: Explore the latest trading tools and software that can enhance your analysis and execution in bear markets, ensuring you stay ahead of the curve. "Day Trading 103: Understanding the Bear Market" is more than just a survival guide; it's a strategic playbook for turning market downturns into opportunities. Daryl Richards’ expert insights and accessible teaching style make even the most complex concepts understandable, empowering you to trade with confidence and precision. Don't let bear markets intimidate you. Equip yourself with the knowledge and strategies to navigate and profit from these challenging conditions. Buy "Day Trading 103: Understanding the Bear Market" today and transform your approach to trading in any market environment!

Super Sectors

Super Sectors
Author: John Nyaradi
Publisher: John Wiley & Sons
Total Pages: 293
Release: 2010-10-05
Genre: Business & Economics
ISBN: 0470592508

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.

Investing in a Secular Bear Market

Investing in a Secular Bear Market
Author: Michael A Alexander
Publisher: iUniverse
Total Pages:
Release: 2005-01-19
Genre:
ISBN: 9780595789764

"How to Invest in a Secular Bear Market" is a sequel to Alexander's 2000 book "Stock Cycles," which forecast the start of a secular bear market, a lengthy period of poor investment performance. Alexander describes the structure of a secular bear market and explains why they happen. He then shows what an investor can expect from this secular bear market over the next 5-10 years and provides some investing strategies. "This is a brilliant and scholarly study that looks to create longer term capital gains in retirement accounts based on cycle investing. What I found particularly fascinating was the very detailed and well-researched studies on the socio-economic/cultural cycles of change throughout history. Wear your 'thinking cap' as the author shows you how to capitalize on these cycles in your IRA and 401(k) accounts."