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Interviews | June 19, 2009

All posts by Dave Jim Lynch Makes Landscape Art... Out of Text

If Carl Hiaasen set one of his novels on a residential stretch of boundary line between British Columbia and Washington, or if Richard Russo's characters had relatives in the Pacific Northwest, the result might be something like Jim Lynch's Border Songs. Continue »


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    Border Songs

    Jim Lynch

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Other titles in the Wiley Finance series:

  1. A Guide to Asian High Yield Bonds: Financing Growth Enterprises
  2. A History of the Theory of Investments: My Annotated Bibliography
  3. A Vision for the Future: In Conversation with Financial Strategists
  4. Absolute Returns: The Risk and Opportunities of Hedge Fund Investing
  5. Active Alpha: A Portfolio Approach to Selecting and Managing Alternative Investments
  6. Active Index Investing: Maximizing Portfolio Performance and Minimizing Risk Through Global Index Strategies (Wiley Finance Series)
  7. Advanced Modelling in Finance Using Excel and Vba
  8. Advising Ultra-Affluent Clients and Family Offices
  9. Alternative Beta Strategies and Hedge Fund Replication
  10. An Arbitrage Guide to Financial Markets
  11. An Introduction to the Bond Markets
  12. An Investor's Guide to the Electricity Economy
  13. Analysing and Interpreting the Yield Curve
  14. Applied Math for Derivatives: A Non-Quant Guide to the Valuation and Modeling of Financial Derivatives
  15. Applied Quantitative Methods for Trading and Investment with CDROM
  16. Asia-Pacific Fixed Income Markets: An Analysis of the Region's Money, Bond and Interest Derivative Markets
  17. Behavioral Finance and Wealth Management: How to Build Optimal Portfolios That Account for Investor Biases
  18. Behavioural Finance for Private Banking
  19. Behavioural Investing: A Practitioner's Guide to Applying Behavioural Finance
  20. Beyond Candlesticks: New Japanese Charting Techniques Revealed
  21. Beyond the J-Curve: Managing a Portfolio of Venture Capital and Private Equity Funds
  22. Building and Using Dynamic Interest Rate Models with CDROM
  23. Building Financial Models With Microsoft Excel
  24. Capital Asset Investment: Strategy, Tactics and Tools
  25. Chaos and Order in the Capital Markets: A New View of Cycles, Prices, and Market Volatility
  26. Collateralized Debt Obligations: Structures and Analysis
  27. Commodity Derivatives: Markets and Applications
  28. Commodity Modeling and Pricing: Methods for Analyzing Resource Market Behavior
  29. Commodity Trading Advisors: Risk, Performance Analysis, and Selection
  30. Competing for Capital: Investor Relations in a Dynamic World
  31. Convertible Arbitrage: Insights and Techniques for Successful Hedging
  32. Corporate Actions: A Guide to Securities Event Management
  33. Corporate Financial Policy and R & D Management with CDROM
  34. Corporate Governance and Risk
  35. Creating Value Through Corporate Restructuring: Case Studies in Bankruptcies, Buyouts, and Breakups
  36. Credit Derivatives & Synthetic Structures: A Guide to Instruments and Applications
  37. Credit Derivatives and Structured Credit: A Guide for Investors
  38. Currency Strategy: The Practitioner's Guide to Currency Investing, Hedging and Forecasting
  39. Damodaran on Valuation: Security Analysis for Investment and Corporate Finance
  40. Dealmaking: Using Real Options and Monte Carlo Analysis
  41. Developments in Forecast Combination and Portfolio Choice
  42. Discounted Cash Flow: A Theory of the Valuation of Firms
  43. Economic Value Management: Applications and Techniques
  44. Economics and Finance of Risk and of the Future
  45. Emerging Markets (01 Edition)
  46. Energy Markets: Price Risk Management and Trading
  47. Environmental Finance: A Guide to Environmental Risk Assessment and Financial Products
  48. Equity Derivatives: Theory and Applications
  49. Equity Hybrid Derivatives
  50. Essays in Derivatives: Risk-Transfer Tools and Topics Made Easy
  51. European Fixed Income Markets: Money, Bond and Interest Rate Derivatives
  52. Evaluating Hedge Fund Performance
  53. Fiduciary Management: Blueprint for Pension Fund Excellence (Wiley Finance (Hardcover))
  54. Financial Applications Using Excel Add-In Development in C/C++ with CDROM
  55. Financial Derivatives
  56. Financial Modelling in Practice: A Concise Guide for Intermediate and Advanced Level with CDROM
  57. Financial Statement Analysis: A Practitioner's Guide
  58. Financing Technology's Frontier: Decision-Makingmodels for Investors and Advisors
  59. Finite Difference Methods in Financial Engineering: A Partial Differential Equation Approach
  60. Fixed Income Attribution
  61. Fixed Income Securities
  62. Fixed Income Strategy: A Practitioner's Guide to Riding the Curve
  63. Fixed-Income Arbitrage: Analytical Techniques and Strategies
  64. Fixed-Income Synthetic Assets: Packaging, Pricing, and Trading Strategies for Financial Professionals
  65. Forecasting Financial and Economic Cycles
  66. Fractal Market Analysis: Applying Chaos Theory to Investment and Economics
  67. Frontiers in Quantitative Finance: Volatility and Credit Risk Modeling
  68. Futures: Fundamental Analysis
  69. Genetic Algorithms and Investment Strategies
  70. Global Asset Allocation: Techniques for Optimizing Portfolio Management
  71. Global Credit Management: An Executive Summary
  72. Global Repo Markets: Instruments & Applications
  73. Hedge Fund Operational Due Diligence: Understanding the Risks
  74. Hedges on Hedge Funds: How to Successfully Analyze and Select an Investment
  75. How to Create and Manage a Hedge Fund: A Professional's Guide
  76. Inside the Financial Futures Markets
  77. Inside Volatility Arbitrage: The Secrets of Skewness
  78. Institutional Banking for Emerging Markets: Principles and Practice
  79. Intermarket Technical Analysis: Trading Strategies for the Global Stock, Bond, Commodity, and Currency Markets
  80. International Corporate Governance After Sarbanes-Oxley
  81. International Economic Indicators and Central Banks
  82. International M & a Joint Ventures 2ND Edition
  83. Investing in Fixed Income Securities: Understanding the Bond Market (Wiley Finance Series)
  84. Investment Banking: Valuation, Leveraged Buyouts, and Mergers & Acquisitions
  85. Investment Leadership: Building a Winning Culture for Long-Term Success
  86. Investment Management
  87. Investment Manager Analysis: A Comprehensive Guide to Portfolio Selection, Monitoring and Optimization (Wiley Finance Series)
  88. Investment Valuation Tools & Techniq 2ND Edition
  89. Investor Relations for the Emerging Company
  90. Islamic Finance: The Regulatory Challenge
  91. Islamic Financial Products and Concepts
  92. J-Curve Exposure: Managing a Portfolio of Venture Capital and Private Equity Funds
  93. Loan Workouts and Debt for Equity Swaps: A Framework for Successful Corporate Rescues
  94. Macrofinancial Risk Analysis
  95. Managed Futures in the Institutional Portfolio
  96. Managed Trading: Myths & Truths
  97. Managing Commodity Risk: Using Commodity Futures and Options
  98. Managing Energy Risk: An Integrated View on Power and Other Energy Markets
  99. Managing Global Financial and Foreign Exchange Rate Risk
  100. Measuring Operational and Reputational Risk: A Practitioner's Approach
  101. Modeling, Measuring and Hedging Operational Risk
  102. Modelling Prices in Competitive Electricity Markets
  103. Modelling Single-Name and Multi-Name Credit Derivatives
  104. Money Management Strategies for Futures Traders
  105. Multi Asset Class Investment Strategy
  106. New Directions in Mathematical Finance
  107. New Era Value Investing: A Disciplined Approach to Buying Value and Growth Stocks
  108. New Issues in Islamic Finance and Economics: Progress and Challenges
  109. New Money Mgmt
  110. New Ways for Managing Global Financial Risks: The Next Generation
  111. Operational Risk Assessment: The Commercial Imperative of a More Forensic and Trasparent Approach
  112. Operational Risk: Measurement and Modelling
  113. Option Market Making: Trading and Risk Analysis for the Financial and Commodity Option Markets
  114. Options Theory
  115. Performance Dashboards and Analysis for Value Creation with CDROM
  116. Physics of Finance: Gauge Modelling in Non-Equilibrium Pricing
  117. Portable Financial Analyst 2ND Edition
  118. Portfolio Management Formulas: Mathematical Trading Methods for the Futures, Options, and Stock Markets
  119. Positive Alpha Generation: Designing Sound Investment Processes
  120. Practical Portfolio Performance Measurement and Attribution with CDROM
  121. Practical Risk Management: An Executive Guide to Avoiding Surprises and Losses
  122. Private Equity as an Asset Class
  123. Private Equity: History, Governance, and Operations
  124. Property Derivatives: Pricing, Hedging and Applications
  125. Raising Venture Capital
  126. Real Estate Development and Investment: A Comprehensive Approach
  127. Risk Budgeting: Portfolio Problem Solving with Value-At-Risk
  128. Risk Management and Value Creation in Financial Institutions
  129. Risk Management for Pensions, Endowments and Foundations
  130. Risk Transfer: Derivatives in Theory and Practice
  131. Salomon Smith Barney Guide to Mortgage-Backed and Asset-Backed Securities
  132. Sectors and Styles: A New Approach to Outperforming the Market
  133. Securities Operations: A Guide to Trade and Position Management
  134. Stochastic Simulation and Applications in Finance with MATLAB Programs
  135. Structured Credit Products: Credit Derivatives and Synthetic Securitisation
  136. Structured Credit Products: Credit Derivatives and Synthetic Securitization
  137. Structured Equity Derivatives: The Definitive Guide to Exotic Options and Structured Notes
  138. Structured Products in Wealth Management
  139. Structured Products: A Complete Toolkit to Face Changing Financial Markets
  140. Swaps and Other Derivatives with CDROM
  141. Takaful Islamic Insurance: Concepts and Regulatory Issues
  142. The Art of Risk Management: Alternative Risk Transfer, Capital Structure, and the Convergence of Insurance and Capital Markets
  143. The Business of Options: Time-Tested Principles and Practice
  144. The Complete Guide to Convertible Securities Worldwide
  145. The Credit Market Handbook: Advanced Modeling Issues
  146. The Day Trader's Manual: Theory, Art, and Science of Profitable Short-Term Investing
  147. The Eva Challenge: Implementing Value-Added Change in an Organization
  148. The Fundamentals of Municipal Bonds
  149. The Future of Banking in a Globalised World
  150. The Future of Investing in Europe's Markets After MiFID
  151. The Handbook of Risk
  152. The Investor's Guide to Nanotechnology & Micromachines
  153. The Liquidity Theory of Asset Prices
  154. The Manager's Guide to Financial Statement Analysis
  155. The Mathematics of Money Management: Risk Analysis Techniques for Traders
  156. The New Science of Technical Analysis
  157. The New Technology of Financial Management
  158. The Price Advantage
  159. The Psychology of Money: An Investment Manager's Guide to Beating the Market
  160. The Rating Agencies and Their Credit Ratings: What They Are, How They Work and Why They Are Relevant
  161. The Real Options Solution: Finding Total Value in a High Risk World
  162. The Risk Management Process: Business Strategy and Tactics
  163. The Split Capital Investment Trust Crisis
  164. The Structured Credit Handbook
  165. The Volatility Surface: A Practitioner's Guide
  166. Trader Vic II: Principles of Professional Speculation
  167. Trading and Investing in Bond Options: Risk Management, Arbitrage, and Value Investing
  168. Trading Applications of Japanese Candlestick Charting
  169. Trading on the Edge: Neural, Genetic, and Fuzzy Systems for Chaoticfinancial Markets
  170. Trading Without Fear: Eliminating Emotional Decisions with Arms Trading Strategies
  171. Treasury Operations and the Foreign Exchange Challenge: A Guide to Risk Management Strategies for the New World Markets
  172. Treynor on Institutional Investing
  173. Understanding International Bank Risk
  174. Understanding Islamic Finance (Wiley Finance (Hardcover))
  175. Understanding Swaps
  176. Using Economic Indicators to Improve Investment Analysis
  177. Valuation of Companies in Emerging Markets: A Practical Approach
  178. Valuation: Maximizing Corporate Value
  179. Value Investing: From Graham to Buffett and Beyond
  180. Valuing Employee Stock Options (Wiley Finance Series)
  181. Valuing Technology: The New Science of Wealth in the Knowledge Economy
  182. Venture Capital Due Diligence: A Guide to Making Smart Investment Choices and Increasing Your Portfolio Returns
  183. Applied C# in Financial Markets
  184. Foreign Exchange: A Practical Guide to the Fx Markets
  185. The Mathematics of Banking and Finance
  186. Derivatives: Markets, Valuation, and Risk Management
  187. Trustee Investment Strategy for Endowments and Foundations
  188. Energy and Environmental Hedge Funds: The New Investment Paradigm
  189. Active Credit Portfolio Management in Practice
  190. The Fundamentals of Hedge Fund Management: How to Successfully Launch and Operate a Hedge Fund
  191. Managing Credit Risk: The Great Challenge for Global Financial Markets
  192. How to Create and Manage a Mutual Fund or Exchange-Traded Fund: A Professional's Guide
  193. Create Your Own Etf Hedge Fund: A Do-It-Yourself Etf Strategy for Private Wealth Management
  194. Equity Valuation: Models from Leading Investment Banks
  195. Energy Budgets at Risk (Ebar): A Risk Management Approach to Energy Purchase and Efficiency Choices
  196. Handbook of Asset and Liability Management: From Models to Optimal Return Strategies
  197. Risk Management in Electronic Banking: Concepts and Best Practices
  198. Selling the Intangible Company: How to Negotiate and Capture the Value of a Growth Firm
  199. Managing Hedge Fund Managers: Quantitative and Qualitative Performance Measures
  200. The Practical Guide to Wall Street: Equities and Derivatives
  201. Restoring Financial Stability: How to Repair a Failed System
  202. Applied Mergers and Acquisitions (Cloth) (04 Edition)
  203. Dynamic Term Structure Modeling: The Fixed Income Valuation Course with CDROM
  204. Pairs Trading: Quantitative Methods and Analysis
  205. Credit Risk Models and the Basel Accords
  206. Operational Risk with Excel and VBA: Applied Statistical Methods for Risk Management
  207. A Modern Approach to Graham and Dodd Investing
  208. Value Added Risk Management in Financial Institutions: Leveraging Basel II & risk adjusted performance measurement
  209. Banking in Asia: Acquiring a Profit Mindset (UK Edition)
  210. Franchise Value: a Modern Approach To Security Analysis
  211. Financial Dynamics: A System for Valuing Technology Companies
  212. Active Value Investing: Making Money in Range-Bound Markets
  213. Advanced Financial Risk Management: Tools &Amp; Techniques for Integrated Credit Risk and Interest Rate Risk Managements
  214. Debt Capital Markets in China
  215. Modeling Risk: Applying Monte Carlo Simulation, Real Options Analysis, Forecasting, and Optimization Techniques with CDROM
  216. Credit Derivatives: Cdos and Structured Credit Products
  217. Energy & Emissions Markets: Collision or Convergence
  218. Carbon Finance: The Financial Implications of Climate Change
  219. Bank Asset & Liability Management: Strategy, Trading, Analysis
  220. Applied Portfolio Management: How University of Kansas Students Generate Alpha to Beat the Street
  221. Asymmetric Returns: The Future of Active Asset Management
  222. The Hedge Fund Compliance and Risk Management Guide
  223. The Mathematics of Derivatives: Tools for Designing Numerical Algorithms
  224. Hedge Funds in Asia
  225. Strategic Corporate Finance: Applications in Valuation and Capital Structure
  226. Securitization: The Financial Instrument of the Future
  227. Project Financing: Asset-Based Financial Engineering
  228. Pension Revolution: A Solution to the Pensions Crisis
  229. Structured Finance Modeling with Object-Oriented VBA
  230. Distress Investing: Principles and Technique
  231. Portable Alpha Theory and Practice: What Investors Really Need to Know
  232. Swiss Annuities and Life Insurance: Secure Returns, Asset Protection, and Privacy
  233. Financial Valuation: Applications and Models and Financial Valuation Workbook -- Set
  234. Foundation and Endowment Investing: Philosophies and Strategies of Top Investors and Institutions
  235. Liquidity Risk Measurement and Management: A Practitioner's Guide to Global Best Practices
  236. Capital Markets of India: An Investor's Guide
  237. The Cme Group Risk Management Handbook: Products and Applications
  238. Statistical Arbitrage: Algorithmic Trading Insights and Techniques
  239. Hedge Fund Due Diligence: Professional Tools to Investigate Hedge Fund Managers
  240. Islamic Finance: An Introduction to Islamic Finance
  241. Advanced Analytical Models, + DVD: Over 800 Models and 300 Applications from the Basel II Accord to Wall Street and Beyond
  242. Stock Market Liquidity: Implications for Market Microstructure and Asset Pricing
  243. The Long and Short of Hedge Funds: A Complete Guide to Hedge Fund Evaluation and Investing
  244. Commodity Investing: Maximizing Returns Through Fundamental Analysis
  245. Equity Valuation, Risk, and Investment: A Practitioner's Roadmap
  246. Structured Finance and Collateralized Debt Obligations: New Developments in Cash and Synthetic Securitization
  247. Environmental Alpha: Institutional Investors and Climate Change
  248. Merger Arbitrage: How to Profit from Event-Driven Arbitrage
  249. Due Diligence: An M&A Value Creation Approach
  250. The Valuation Handbook: Valuation Techniques from Today's Top Practitioners
  251. Operational Risk Toward Basel III: Best Practices and Issues in Modeling, Management, and Regulation
  252. The Handbook of Financing Growth: Strategies, Capital Structure, and M&A Transactions
  253. Free Cash Flow: Seeing Through the Accounting Fog Machine to Find Great Stocks
  254. Mastering Financial Accounting Essentials: The Critical Nuts and Bolts
  255. Fast Track To Structured Finance Modeling, Monitoring and Valuation (09 Edition)
  256. Modern Portfolio Management: Active Long/Short 130/30 Equity Strategies
  257. The Retirement Plan Solution: The Reinvention of Defined Contribution
  258. Life Markets: Trading Mortality and Longevity Risk with Life Settlements and Linked Securities
  259. Credit Derivatives and Structured Credit Trading
  260. Inside Private Equity: The Professional Investor's Handbook
  261. Inside the Black Box: The Simple Truth about Quantitative Trading
  262. Investment Leadership & Portfolio Management
  263. Interest Rate Swaps and Their Derivatives: A Practitioner's Guide
  264. Finding Alpha: The Search for Alpha When Risk and Return Break Down
  265. Caia Level I: An Introduction to Core Topics in Alternative Investments
  266. Investment Management: Meeting the Noble Challenges of Funding Pensions, Deficits, and Growth
  267. Business Valuation and Bankruptcy
  268. From Innovation to Cash Flows: Value Creation by Structuring High Technology Alliances
  269. The Future of Hedge Fund Investing: A Regulatory and Structural Solution for a Fallen Industry
  270. Strategic Value Management: Stock Value Creation and the Management of the Firm + CD

Trading for a Living

by Alexander Elder

Trading for a Living Cover

ISBN13: 9780471592242
ISBN10: 0471592242
Condition: Standard
Dustjacket: None
All Product Details

Only 1 left in stock at $50.00!

Synopses & Reviews

Publisher Comments:

Trading for a Living Successful trading is based on three M’s: Mind, Method, and Money. Trading for a Living helps you master all of those three areas:
  • How to become a cool, calm, and collected trader
  • How to profit from reading the behavior of the market crowd
  • How to use a computer to find good trades
  • How to develop a powerful trading system
  • How to find the trades with the best odds of success
  • How to find entry and exit points, set stops, and take profits
Trading for a Living helps you discipline your Mind, shows you the Methods for trading the markets, and shows you how to manage Money in your trading accounts so that no string of losses can kick you out of the game. To help you profit even more from the ideas in Trading for a Living, look for the companion volume—Study Guide for Trading for a Living. It asks over 200 multiple-choice questions, with answers and 11 rating scales for sharpening your trading skills. For example: Question Markets rise when
  1. there are more buyers than sellers
  2. buyers are more aggressive than sellers
  3. sellers are afraid and demand a premium
  4. more shares or contracts are bought than sold
  1. I and II
  2. II and III
  3. II and IV
  4. III and IV
Answer B. II and III. Every change in price reflects what happens in the battle between bulls and bears. Markets rise when bulls feel more strongly than bears. They rally when buyers are confident and sellers demand a premium for participating in the game that is going against them. There is a buyer and a seller behind every transaction. The number of stocks or futures bought and sold is equal by definition.

Synopsis:

You have just taken a big step away from the crowd of amateurs. By opening Trading for a Living, you've resolved to become a successful trader. Dr. Alexander Elder is a professional trader, a world-class expert in technical analysis, and a practicing psychiatrist. He believes that successful trading is based on three M's: Mind, Method, and Money. First, you will see that the key to winning is inside your Mind. You will find out how to develop discipline and how to avoid the traps of emotional trading. Second, you will learn how to find good trades by using charts, computerized indicators, and other tools. You will discover how to combine several analytic Methods into a powerful trading system. Finally, you will learn how to manage Money in your trading account. The rules for limiting risks are as vital to a trader as a safety net is to a high-wire walker. With this book, you are on your way to mastering a new way of trading stocks, futures, currencies, and options. Dr. Alexander Elder helps you embark on an intense pursuit-trading for a living.

Synopsis:

You have just taken a big step away from the crowd of amateurs. By opening Trading for a Living, you’ve resolved to become a successful trader. Dr. Alexander Elder is a professional trader, a world-class expert in technical analysis, and a practicing psychiatrist. He believes that successful trading is based on three M’s: Mind, Method, and Money. First, you will see that the key to winning is inside your Mind. You will find out how to develop discipline and how to avoid the traps of emotional trading. Second, you will learn how to find good trades by using charts, computerized indicators, and other tools. You will discover how to combine several analytic Methods into a powerful trading system. Finally, you will learn how to manage Money in your trading account. The rules for limiting risks are as vital to a trader as a safety net is to a high-wire walker. With this book, you are on your way to mastering a new way of trading stocks, futures, currencies, and options. Dr. Alexander Elder helps you embark on an intense pursuit—trading for a living.

Description:

Includes bibliographical references (p. 275-277) and index.

About the Author

ALEXANDER ELDER, MD, was born in Leningrad and grew up in Estonia where he entered medical school at the age of 16. At 23, while working as a ship's doctor, he escaped from a Soviet ship in Africa and received political asylum in the U.S.A. He continued to work as a psychiatrist in New York City, served as book editor of The Psychiatric Times, and taught at Columbia University. After becoming involved in financial trading, Dr. Elder published over 50 articles, software, and book reviews, and spoke at many conferences. In 1988 he founded Financial Trading Seminars, Inc., an educational firm for traders.

Product Details

ISBN:
9780471592242
Subtitle:
Psychology, Trading Tactics, Money Management
Read:
Davidson, Richard
Read:
Davidson, Richard
Author:
Elder, Alexander
Publisher:
John Wiley & Sons
Location:
New York :
Subject:
Investments & Securities
Subject:
Stocks
Subject:
Futures
Subject:
Options
Subject:
Options (Futures)
Subject:
Investments & Securities - General
Copyright:
Edition Description:
Hardcover
Series:
Wiley finance editions
Series Volume:
31
Publication Date:
March 1993
Binding:
Hardcover
Grade Level:
General/trade
Language:
English
Illustrations:
Yes
Pages:
289
Dimensions:
9.22x6.34x1.03 in. 1.20 lbs.

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