ISBN-13: 9781505385502 / Angielski / Miękka / 2014 / 334 str.
This book includes many strategies geared towards trading for profits. Any strategy could be over-used. We need to use the right strategy for the current market conditions. Many investors, including many fund managers, fail to do so and achieve a sub-par performance. This book represents my decades of trading experiences, at least a thousand of simulations and summaries of hundreds of investing books I read. The strategy is backed up by profitable performances of these super stocks in real trades (not after-the-fact). Market timing is discussed in detail with market cycles, as well as by calendar such as Presidential Cycle, 'Sell in May and Go Away', best and worst times to invest, etc. This book covers most topics in investing including diversification, profit protection, trade prices, trade positions, short selling, writing covered calls and trade plans. I offer practical solutions and guidelines via my experience. The lessons from my bad experiences could be more valuable than the good ones. I achieved 80% return in 2009 in my largest taxable account and reveal my secrets here. The bottom fishing strategy could be most profitable during the early market recovery, but we need to discover when exactly that recovery occurs. Last update: 11/2016. Size: 300 (6*9)