Für diesen Artikel ist leider kein Bild verfügbar.

CMT Level III 2018

The Integration of Technical Analysis

(Autor)

Buch | Softcover
928 Seiten
2017
John Wiley & Sons Inc (Verlag)
978-1-119-47457-9 (ISBN)
205,77 inkl. MwSt
  • Titel ist leider vergriffen;
    keine Neuauflage
  • Artikel merken
Everything you need to pass Level III of the CMT Program

CMT Level III 2018: The Integration of Technical Analysis fully prepares you to demonstrate competency integrating basic concepts in Level I with practical applications in Level II, by using critical analysis to arrive at well-supported, ethical investing and trading recommendations. Covered topics include: asset relationships, portfolio management, behavioral finance, volatility, and analysis. The Level III exam emphasizes risk management concepts as well as classical methods of technical analysis.

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

About the CMT Association ix


What Is the CMT (R) Program? xi


How This Book Was Created xiii


Preface xv


SECTION I Risk Management 1


Chapter 1 System Design and Testing 3
Charles D. Kirkpatrick II and Julie R. Dahlquist


Chapter 2 Money and Portfolio Risk Management 31
Charles D. Kirkpatrick II and Julie R. Dahlquist


Chapter 3 System Evaluation and Testing 53
Perry J. Kaufman


Chapter 4 Practical Considerations 126
Perry J. Kaufman


Chapter 5 Risk Control 169
Perry J. Kaufman


Chapter 6 Statistical Analysis 238
David Aronson


Chapter 7 Hypothesis Tests and Confidence Intervals 283
David Aronson


SECTION II Asset Relationships 315


Chapter 8 Regression 317
Markos Katsanos


Chapter 9 International Indices and Commodities 325
Markos Katsanos


Chapter 10 The S&P 500 351
Markos Katsanos


Chapter 11 European Indices 366
Markos Katsanos


Chapter 12 Gold 374
Markos Katsanos


Chapter 13 Intraday Correlations 390
Markos Katsanos


Chapter 14 Intermarket Indicators 399
Markos Katsanos


Chapter 15 A Unique Way to Visualize Relative Strength 421
Julius de Kempenaer and Mathew Verdouw, CMT, CFTe


SECTION III Portfolio Management 457


Chapter 16 Fact, Fiction, and Momentum Investing 459
Clifford S. Asness, Andrea Frazzini, Ronen Israel, and Tobias J. Moskowitz


Chapter 17 Analyzing the Macro-Finance Environment 484
Robert A. Weigand


Chapter 18 Portfolio Risk and Performance Attribution 518
Robert A. Weigand


SECTION IV Behavioral Finance 565


Chapter 19 Behavioral Biases 567
Michael M. Pompian


Chapter 20 Investor Psychology 584
Mark Andrew Lim


Chapter 21 Are Two Heads Better Than One? 596
James Montier


Chapter 22 The Anatomy of a Bubble 604
James Montier


Chapter 23 De-Bubbling: Alpha Generation 616
James Montier


Chapter 24 Behavioral Techniques 638
Perry J. Kaufman


SECTION V Volatility Analysis 669


Chapter 25 The VIX as a Stock Market Indicator 671
Russell Rhoads


Chapter 26 Hedging with VIX Derivatives 687
Russell Rhoads


Chapter 27 Advanced Techniques 701
Perry J. Kaufman


SECTION VI Classical Methods 749


Chapter 28 Pattern Recognition 751
Perry J. Kaufman


Chapter 29 Multiple T ime F rames 777
Perry J. Kaufman


Chapter 30 Candlestick Analysis 789
Mark Andrew Lim


Chapter 31 Progressive Charting 838
Steve Nison


Chapter 32 Bringing It All Together: Real-World Charts 879
Steve Nison


Chapter 33 Conclusions 905
Richard J. Bauer Jr. and Julie R. Dahlquist

Erscheinungsdatum
Verlagsort New York
Sprache englisch
Maße 181 x 254 mm
Gewicht 1698 g
Themenwelt Wirtschaft Betriebswirtschaft / Management Finanzierung
Betriebswirtschaft / Management Spezielle Betriebswirtschaftslehre Bankbetriebslehre
ISBN-10 1-119-47457-4 / 1119474574
ISBN-13 978-1-119-47457-9 / 9781119474579
Zustand Neuware
Haben Sie eine Frage zum Produkt?
Mehr entdecken
aus dem Bereich
denken und handeln wie ein professioneller Trader

von Mark Douglas

Buch | Softcover (2023)
Vahlen, Franz (Verlag)
36,90