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CMT Level II 2018

Theory and Analysis

(Autor)

Buch | Softcover
792 Seiten
2017
John Wiley & Sons Inc (Verlag)
978-1-119-47455-5 (ISBN)
205,77 inkl. MwSt
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Everything you need to pass Level II of the CMT Program

CMT Level II 2018: Theory and Analysis fully prepares you to demonstrate competency applying the principles covered in Level I, as well as the ability to apply more complex analytical techniques. Covered topics address theory and history, market indicators, construction, confirmation, cycles, selection and decision, system testing, and statistical analysis. The Level II exam emphasizes trend, chart, and pattern analysis, as well as risk management concepts.

This cornerstone guidebook of the Chartered Market Technician(R) Program will provide every advantage to passing Level II CMT Exam.

About the CMT Association ix


What Is the CMT (R) Program? xi


How This Book Was Created xiii


Preface xv


SECTION I CHART DEVELOPMENT AND ANALYSIS 1


Chapter 1 Charting 3
Perry J. Kaufman


Chapter 2 Moving Averages 71
Charles D. Kirkpatrick II and Julie R. Dahlquist


Chapter 3 Time-Based Trend Calculations 99
Perry J. Kaufman


CHAPTER 4 T rend Systems (Part 1) 114
Perry J. Kaufman


CHAPTER 5 T rend Systems (Part 2) 138
Perry J. Kaufman


CHAPTER 6 Momentum and Oscillators 156
Perry J. Kaufman


Chapter 7 Volume, Open Interest, and Breadth 197
Perry J. Kaufman


Chapter 8 Bar Chart Patterns 234
Charles D. Kirkpatrick II and Julie R. Dahlquist


Chapter 9 Short-Term Patterns 267
Charles D. Kirkpatrick II and Julie R. Dahlquist


Chapter 10 Single Candle Lines 309
Steve Nison


Chapter 11 Multi-Candle Patterns 320
Steve Nison


Chapter 12 Forecasting and Trading Techniques 335
Steve Nison


SECTION II RISK MANAGEMENT 345


Chapter 13 Option Pricing Basics 347
Edwin J. Elton, Martin J. Gruber, Stephen J. Brown, and William N. Goetzmann


Chapter 14 Understanding Implied Volatility 361
Russell Rhoads


Chapter 15 About the VIX Index 373
Russell Rhoads


SECTION III TECHNICAL INVESTMENT STRATEGIES 387


Chapter 16 Selection of Markets and Issues: Trading and Investing 389
Charles D. Kirkpatrick II and Julie R. Dahlquist


Chapter 17 Intermarket Analysis 415
Markos Katsanos


Chapter 18 Cycle Analysis 427
Perry J. Kaufman


Chapter 19 Relative Strength Strategies for Investing 448
Mebane T. Faber


Chapter 20 A Stock Market Model 461
Ned Davis and Loren Flath


Chapter 21 A Simple Model for Bonds 496
Ned Davis and Loren Flath


Chapter 22 Perspectives on Active and Passive Money Management 503
Robert A. Weigand


SECTION IV MARKETS 535


Chapter 23 Prospect Theory 537
Edwin T. Burton and Sunit N. Shah


Chapter 24 Perception Biases 544
Edwin T. Burton and Sunit N. Shah


Chapter 25 Inertial Effects 552
Edwin T. Burton and Sunit N. Shah


SECTION V STATISTICAL ANALYSIS AND SYSTEM DEVELOPMENT 561


Chapter 26 Correlation 563
Markos Katsanos


Chapter 27 Regression 577
Markos Katsanos


Chapter 28 Regression Analysis 583
Perry J. Kaufman


Chapter 29 The Scientific Method and Technical Analysis 595
David Aronson


Chapter 30 Theories of Nonrandom Price Motion 648
David Aronson


Chapter 31 Case Study of Rule Data Mining for the S&P 500 699
David Aronson


Chapter 32 System Design and Testing 746
Charles D. Kirkpatrick II and Julie R. Dahlquist

Erscheinungsdatum
Verlagsort New York
Sprache englisch
Maße 181 x 254 mm
Gewicht 1478 g
Themenwelt Wirtschaft Betriebswirtschaft / Management Finanzierung
Betriebswirtschaft / Management Spezielle Betriebswirtschaftslehre Bankbetriebslehre
ISBN-10 1-119-47455-8 / 1119474558
ISBN-13 978-1-119-47455-5 / 9781119474555
Zustand Neuware
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