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Better Stock Trading : Money and Risk Management - Daryl Guppy

Better Stock Trading

Money and Risk Management

Hardcover Published: 29th May 2003
ISBN: 9780470821015
Number Of Pages: 352

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An in-depth examination of money management methods for consistent trading success
In Better Stock Trading, Daryl Guppy shows readers how to improve returns by using good money management technique not by increasing risk in trying to win more trades. Readers will learn how to level the market playing field by using the best money management strategies for their particular account size. From the straightforward two percent rule, to pyramiding methods, and overall portfolio management, Guppy presents a selection of strategies, which will allow any independent trader to capitalize on a rising market and protect funds when the bear takes over. He also shows readers how to study their own trading history and use this information to improve their trading future. Trading skill counts, but money management gives independent traders the edge.
Daryl Guppy (Australia) is an experienced and highly successful private trader. A member of IFTA and the Australian Technical Analyst's Association, he is a popular speaker at international trading seminars in Australia and the Asia Pacific region. He is the author of five highly successful trading titles, including Market Trading Tactics (0-471-84663-5), and is the Editorial Director of The Investors' International Bookshelf.

Foreword by Martin J. Pring Preface: Cash stacks PART 1 PERFORMANCE PROFILING Chapter 1 Boom or bust? Chapter 2 Risk with style Chapter 3 Mix 'n' match Chapter 4 Risk in time Chapter 5 Equity curves PART 2 PROTECT CAPITAL Chapter 6 Risk and uncertainty Chapter 7 Flinch points Chapter 8 Securing capital Chapter 9 Danger on the detour PART 3 PROTECT PROFITS Chapter 10 Exit greed Chapter 11 Profit at risk Chapter 12 Winning additions Chapter 13 Trending toward risk Chapter 14 Exploiting trends Chapter 15 Ordering profits Chapter 16 Ordering U.S. profits Chapter 17 Asian profits on order PART 4 PROTECT PORTFOLIOS Chapter 18 Made to Measure Chapter 19 Risk and diversity Chapter 20 Slicing risk Chapter 21 Swiss curves Chapter 22 Active investing Chapter 23 No sweat

ISBN: 9780470821015
ISBN-10: 0470821019
Series: Wiley Trading
Audience: General
Format: Hardcover
Language: English
Number Of Pages: 352
Published: 29th May 2003
Country of Publication: GB
Dimensions (cm): 24.08 x 16.46  x 3.0
Weight (kg): 0.78

Earn 235 Qantas Points
on this Book