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Futures - 6 - Page 6 - Blowout Sale! Save up to 74%


Blowout Sale! Up to 74% off on Futures at HYIP Offer, Page 6. Top brands include Wiley, Katsanos Markos, Prentice Hall, Cyril Demaria, FT Press, Peter Miu Narat Charupat, Red Rock Publishing, Brand: Palgrave Macmillan, Mark Boucher, John Wiley & Sons Inc, Damien Lamberton, & Pearson. Hurry! Limited time offers. Offers valid only while supplies last.



Hedge Fund Leadership: How To Inspire Peak Performance from Traders and Money Managers
Hedge Fund Leadership: How To Inspire Peak Performance from Traders and Money Managers
By Wiley
In Stock
$75.00

ean: 9780470193877, isbn: 0470193875,

4.7 out of 5 stars with 219 reviews
Hedge Fund Leadership skillfully explains how to assemble, motivate, and manage a group of traders within a fund and sheds much-needed light on the importance of aligning traders with the overall vision and goals of a hedge fund. Author Ari Kiev shares his perspectives on various leadership themes and discusses how a delicate balance between empowerment and control must be struck in order to enhance the performance of today?s hedge fund..


Pattern, Price & Time: Using Gann Theory in Trading Systems (Wiley Trading)
Pattern, Price & Time: Using Gann Theory in Trading Systems (Wiley Trading)
By Wiley
In Stock
$86.50
$54.57
You Save: 37%

ean: 9780471253334, isbn: 0471253332,

4.8 out of 5 stars with 42 reviews
The first book to bring a highly controversial charting method down to earth for today's futures traders. W. D. Gann continues to be one of the most controversial figures in technical analysis. Considered eccentric, abstruse, and even mystical by some, his techniques, which combine geometric figures with time and price, have nevertheless been successfully adapted and used by several generations of traders. This book explains how Gann concepts apply to all major markets. It shows readers how to


Intermarket Trading Strategies
Intermarket Trading Strategies
By Katsanos Markos
In Stock
$105.00
$52.35
You Save: 50%

ean: 9780470758106, isbn: 0470758104,

4.2 out of 5 stars with 27 reviews
This book shows traders how to use Intermarket Analysis to forecast future equity, index and commodity price movements. It introduces custom indicators and Intermarket based systems using basic mathematical and statistical principles to help traders develop and design Intermarket trading systems appropriate for long term, intermediate, short term and day trading. The metastock code for all systems is included and the testing method is described thoroughly. All systems are back tested using at


Futures and Options Markets: An Introduction
Futures and Options Markets: An Introduction
By Prentice Hall
In Stock
$725.24

ean: 9780135983683, isbn: 0135983681,

4.4 out of 5 stars with 55 reviews
/*0-13-598368-1, 59836-7, Carter, Colin A., Futures and Options Markets: An Introduction*/ This book provides an economic understanding of the development and operation of futures and options markets with numerous relevant examples. It is up to date in material, and provides readers with an intuitive explanation of the complicated nature of futures and options markets. KEY FEATURES: A perfect blend of material relating to options, futures, commodities and financials is offered as well as


Private Equity Fund Investments: New Insights on Alignment of Interests, Governance, Returns and Forecasting (Global Financial Markets)
Private Equity Fund Investments: New Insights on Alignment of Interests, Governance, Returns and Forecasting (Global Financial Markets)
By Cyril Demaria
In Stock
$80.00
$59.49
You Save: 26%

mpn: 48 figures, 35 black & white tables, ean: 9781137400383, isbn: 1137400382,

4.4 out of 5 stars with 29 reviews
This book presents new, advanced, evidence-based guidance on investing in private equity funds: first by assessing the investor's environment and motivations, then by looking into the risks, returns and overall performance of funds and finally, by offering practical solutions to the illiquidity conundrum.Private Equity Fund Investments New Insights on Alignment of Interests Governance Returns and Forecasting Global Financial Markets.


Mastering Derivatives Markets: A Step-by-Step Guide to the Products, Applications and Risks (4th Edition) (The Mastering Series)
Mastering Derivatives Markets: A Step-by-Step Guide to the Products, Applications and Risks (4th Edition) (The Mastering Series)
By FT Press
In Stock
$79.99
$72.53
You Save: 9%

ean: 9780273735670, isbn: 0273735675,

4.8 out of 5 stars with 15 reviews
''The first port of call for anyone looking to truly understand derivatives markets, appreciate the role they play within the global financial system and develop the technical knowledge to trade.'' Matthew Thompson, Chief Strategy & Business Development Officer, Dubai Mercantile Exchange ''An essential read for anyone serious about understanding the impact of derivatives and technology on the global financial market.'' Kevin Thorogood, Global Head, Investment Banking/Energy Trading,


Handbook of Hedge Funds
Handbook of Hedge Funds
By Wiley
In Stock
$235.00
$115.00
You Save: 51%

ean: 9780470026632, isbn: 0470026634,

4.3 out of 5 stars with 38 reviews
A comprehensive guide to the burgeoning hedge fund industry Intended as a comprehensive reference for investors and fund and portfolio managers, Handbook of Hedge Funds combines new material with updated information from Francois-Serge L’habitant’s two other successful hedge fund books. This book features up-to-date regulatory and historical information, new case studies and trade examples, detailed analyses of investment strategies, discussions of hedge fund indices and databases, and tips


Options, Futures, and Other Derivatives (4th Edition)
Options, Futures, and Other Derivatives (4th Edition)
By Prentice Hall
In Stock
$125.00
$55.99
You Save: 55%

ean: 9780130224446, isbn: 0130224448,

4.8 out of 5 stars with 8 reviews
This fourth edition provides a unifying approach to the valuation of all derivatives not just futures and options and includes new chapters on value at risk and estimating volatilities and correlations. Hull (Joseph L. Rotman School of Management, U. of Toronto) assumes that the reader has taken introductory courses in finance and probability and statistics. The disk includes Excel-based software called DerivaGem which can be used to calculate options prices, imply volatilities, and calculate


Leveraged Exchange-Traded Funds: A Comprehensive Guide to Structure, Pricing, and Performance
Leveraged Exchange-Traded Funds: A Comprehensive Guide to Structure, Pricing, and Performance
By Peter Miu Narat Charupat
In Stock
$90.00
$62.75
You Save: 30%

mpn: biography, ean: 9781137478207, isbn: 1137478209,

4.7 out of 5 stars with 14 reviews
Leveraged Exchange-Traded Funds (LETFs) are publicly-traded funds that promise to provide daily returns that are in a multiple (positive or negative) of the returns on an index. To meet that promise, the funds use leverage, which is typically obtained through derivatives such as futures contracts, forward contracts, and total-return swaps. As of the end of 2012, there were over 250 LETFs in North America with total assets of approximately $32.24 billion. While the amount of assets held by these


The Art Of Timing The Trade, Your Ultimate Trading Mastery System
The Art Of Timing The Trade, Your Ultimate Trading Mastery System
By Red Rock Publishing
In Stock
$58.28

ean: 9780976352914, isbn: 0976352915,

4.4 out of 5 stars with 61 reviews
The Art Of Timing The Trade, Your Ultimate Trading Mastery System, is a complete system for making money, protecting profits and minimizing losses. Tom O'Brien walks you through a combination of subjective theories like Quality Volume and Cause and Effect, the objective aspects of Fibonacci and Swing Point analysis, the never-before-seen Tiger Gartley Pattern and Tiger Scaling, all the while teaching you risk management techniques that can be profitably applied to any stock, commodity, option


A Practical Guide to Collateral Management in the OTC Derivatives Market (Finance and Capital Markets Series)
A Practical Guide to Collateral Management in the OTC Derivatives Market (Finance and Capital Markets Series)
By Brand: Palgrave Macmillan
In Stock
$315.00
$82.50
You Save: 74%

ean: 9781403912039, isbn: 1403912033,

4.7 out of 5 stars with 28 reviews
This is the first book of its kind on the market and is aimed at collateral management professionals in the OTC derivatives markets. It is a guide to the key topics involved in establishing and running a collateral management function and is clear, comprehensive and practical. A Practical Guide to Collateral Management will also be of value to those professionals working in product areas applying collateral management techniques including repo, securities lending and exchange traded products.


The Hedge Fund Edge: Maximum Profit/Minimum Risk Global Trend Trading Strategies
The Hedge Fund Edge: Maximum Profit/Minimum Risk Global Trend Trading Strategies
By Mark Boucher
In Stock
$115.00
$52.99
You Save: 54%

ean: 9780471185383, isbn: 0471185388,

4.5 out of 5 stars with 34 reviews
Achieve higher returns with lower risk and take your profits globally. A leading hedge fund trader offers a solid and profitable trading approach to the world markets. ''This is the best stock market book that I have read in a long time. Boucher lays it out clearly, concisely, and in a most interesting manner. A 'must read' for anyone who invests in the equities market.'' -Dan Sullivan Editor, The Chartist ''A leading practitioner offers rich theoretical insights and sound practical advice


The complete guide to the futures markets. Fundamental analysis, technical analysis, trading, spreads, and options.
The complete guide to the futures markets. Fundamental analysis, technical analysis, trading, spreads, and options.
By John Wiley & Sons Inc
In Stock
$131.90
$108.48
You Save: 18%

ean: 9780471893769, isbn: 0471893765,

4.5 out of 5 stars with 53 reviews
Hardcover Publisher: John Wiley & Sons,; First Edition edition (1984) Language: English.


Options, Futures, and Other Derivatives and DerivaGem CD Package (8th Edition)
Options, Futures, and Other Derivatives and DerivaGem CD Package (8th Edition)
By Prentice Hall
In Stock
$1,572.92

mpn: black & white tables, figures, ean: 9780132777421, isbn: 0132777428,

4.0 out of 5 stars with 286 reviews
Bridge the gap between theory and practice. Designed to bridge the gap between theory and practice, this introductory text on the futures and options markets is ideal for those with a limited background in mathematics. The eighth edition has been updated and improved–featuring a new chapter on securitization and the credit crisis, and increased discussion on the way commodity prices are modeled and commodity derivatives valued.   0132777428 / 9780132777421 Options, Futures, and Other


Introduction to Stochastic Calculus Applied to Finance, Second Edition (Chapman and Hall/CRC Financial Mathematics Series)
Introduction to Stochastic Calculus Applied to Finance, Second Edition (Chapman and Hall/CRC Financial Mathematics Series)
By Damien Lamberton
In Stock
$94.95
$57.78
You Save: 39%

ean: 9781584886266, isbn: 1584886269,

4.9 out of 5 stars with 53 reviews
Since the publication of the first edition of this book, the area of mathematical finance has grown rapidly, with financial analysts using more sophisticated mathematical concepts, such as stochastic integration, to describe the behavior of markets and to derive computing methods. Maintaining the lucid style of its popular predecessor, Introduction to Stochastic Calculus Applied to Finance, Second Edition incorporates some of these new techniques and concepts to provide an accessible,


Extreme Weather and The Financial Markets: Opportunities in Commodities and Futures
Extreme Weather and The Financial Markets: Opportunities in Commodities and Futures
By Wiley
In Stock
$854.51

ean: 9781118147214, isbn: 1118147219,

4.8 out of 5 stars with 90 reviews
The positive effects of climate change on the market Record-setting snowfall, cyclones in Australia, chronic drought in Russia, and other dramatic weather events are getting increased attention from scientists and the general public. The effects of climate change present challenges to many sectors, but also present major investing opportunities in the stock, bond, and futures markets. Extreme Weather and The Financial Markets looks at climate change from an investor's standpoint. The climate


Options Markets
Options Markets
By Prentice Hall
In Stock
$80.35

ean: 9780136382058, isbn: 0136382053,

4.8 out of 5 stars with 175 reviews
ASIN: B000KWTAD6 Title: Options Markets Publication date: 1985.


Trading VIX Derivatives: Trading and Hedging Strategies Using VIX Futures, Options, and Exchange Traded Notes
Trading VIX Derivatives: Trading and Hedging Strategies Using VIX Futures, Options, and Exchange Traded Notes
By Wiley
In Stock
$75.00
$40.90
You Save: 45%

ean: 9780470933084, isbn: 0470933089,

4.1 out of 5 stars with 26 reviews
A guide to using the VIX to forecast and trade markets Known as the fear index, the VIX provides a snapshot of expectations about future stock market volatility and generally moves inversely to the overall stock market. Trading VIX Derivatives will show you how to use the Chicago Board Options Exchange's S&P 500 volatility index to gauge fear and greed in the market, use market volatility to your advantage, and hedge stock portfolios. Engaging and informative, this book skillfully explains the


Options Markets
Options Markets
By Pearson
In Stock
$168.00
$140.45
You Save: 16%

mpn: illustrations, index, bibliography, ean: 9780136382058, isbn: 0136382053,

4.4 out of 5 stars with 41 reviews
This exploration of options markets blends institutional practice with theoretical research. Discusses theoretical models for the valuation of options and outlines trading strategies for puts and calls.


Market Risk Analysis
Market Risk Analysis
By Wiley
In Stock
$350.00
$255.22
You Save: 27%

ean: 9780470997994, isbn: 0470997990,

4.6 out of 5 stars with 14 reviews
Market Risk Analysis is the most comprehensive, rigorous and detailed resource available on market risk analysis. Written as a series of four interlinked volumes each title is self-contained, although numerous cross-references to other volumes enable readers to obtain further background knowledge and information about financial applications. Volume I: Quantitative Methods in Finance covers the essential mathematical and financial background for subsequent volumes. Although many readers will



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