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Fusion Analysis: Merging Fundamental and Technical Analysis for Risk-Adjusted Excess Returns by V. John Palicka (2012, Hardcover)

Über dieses Produkt

Product Identifiers

PublisherMcgraw-Hill Education
ISBN-100071629386
ISBN-139780071629386
eBay Product ID (ePID)92894991

Product Key Features

Number of Pages480 Pages
Publication NameFusion Analysis: Merging Fundamental and Technical Analysis for Risk-Adjusted Excess Returns
LanguageEnglish
Publication Year2012
SubjectPersonal Finance / Investing, Finance / General, Investments & Securities / Analysis & Trading Strategies, Investments & Securities / General
TypeTextbook
AuthorV. John Palicka
Subject AreaBusiness & Economics
FormatHardcover

Dimensions

Item Height1.5 in
Item Weight28.7 Oz
Item Length9.5 in
Item Width6.2 in

Additional Product Features

Intended AudienceScholarly & Professional
LCCN2010-032038
Dewey Edition22
IllustratedYes
Dewey Decimal332.632042
Table Of ContentAcknowledgements Introduction Part 1: The Big Picture 1. The Big Picture 2. Big Question: Where Is the Market Going? 3. Technical and Fundamental Decision Part Two: The Fluctuating Moves 4. Valuation and Broad Approaches in Fundamental Analysis 5. Valuation Is Just the Beginning 6. Investing, Trading, and Gold 7. Gold and Paper Money Part 3: The Ticking Clock: Growth of Concentric Circles 8. Determinism, Investing, and Trading 9. Time Travel Revisited 10. Other Economic Cycles 11. Sentiment and Technical Tools 12. Elliot Wave Principle and Real Estate: Mixing a Technical Tool and a Fundamental Part 4: Fusion Process 13. Quant Systems 14. Financial and Emotional Blend and Trading Strategies 15. Derivatives Inputs and Trading Strategies 16. Developing Our Model 17. Fusion Process and Steve Madden Case Study 18. Fusion Demonstration for New Ideas and Necessary Investment Knowledge Conclusion: The Future and the Golden Butterfly Appendix Further Reading Endnotes Index
SynopsisQuestion: What is the best way to make money on your investments? Answer: There is no one single quick answer. That's why you need Fusion Analysis . One of the fastest-growing trends in investment today, fusion analysis combines the best of all possible strategies into one powerful, unified system. Based on the now-famous NYIF investment course taught by renowned portfolio manager V. John Palicka CFA CMT, this all-in-one guide shows you how to: Manage fundamental trends like gold investing and small-cap investing Master technical tools such as price forecasts and market data histories Recognize behavioral patterns like fear, greed, impulse, and sentiment Utilize quant systems to adapt, evolve, and balance your investments Whether you're a hedge fund manager, a portfolio professional, or an individual investor, you'll find a complete range of techniques that can work together for you. By combining the very best of all investment approaches, Palicka's integrated system provides the perfect fusion of theory and practice. You'll learn how to capitalize on the repeating nature of investment psychology--and avoid the emotional fallout that can rattle the market. You'll learn how to strengthen and diversify your portfolio with strategic buys such as gold and other metals. You'll learn how to identify future growth companies, evaluate real-estate opportunities, and evaluate your assets for the bigger picture. Once you fuse a strategy together, you can adjust your risks for the highest return possible. In today's market, you need more than one strategy to grow your investments. You need the full-range potential of Fusion Analysis ., Explains how to use a blend (fusion) of fundamental, technical, behavioral, and quant disciplines to build a single, powerful investing strategy. Based on one of the New York Institute of Finance (NYIF) most popular courses--and the only course on fusion analysis.
LC Classification NumberHG4529