Author: | Kantilal R Patel | ISBN: | 9781310705281 |
Publisher: | Kantilal R Patel | Publication: | December 6, 2015 |
Imprint: | Smashwords Edition | Language: | English |
Author: | Kantilal R Patel |
ISBN: | 9781310705281 |
Publisher: | Kantilal R Patel |
Publication: | December 6, 2015 |
Imprint: | Smashwords Edition |
Language: | English |
This book presents a practical approach to investing in the stock market for making money; it is based on analysis of actual market data since 1982. It is unique and different from other books on the subject matter because buy and sell signals generated by the methodology presented in the book make the investing process foolproof and mechanical. It removes the damaging effects of emotions and feelings from the investing process. It guides the investors when to invest in the stock market and when to step aside. It is worthwhile to note that the methodology kept investors out of the 2000 and 2008 bear markets by generating timely sell signals.
The greatest risk in the market is not being in when the prices are rising and not being out when the prices are falling. Therefore, it is very important to know when to buy, what to buy and when to sell. This book answers these questions.
The methodology is based on detecting the medium to long-term market trends and how to strategically trade the market to maximize gain situations.
The investment strategies discussed in this book are based on market timing techniques, with emphasis on technical analysis. It will expose investors to an exciting new approach in timing the stock market.
This book is designed to help to get the most from investments with the least amount of effort and time; it only requires 30 minutes to an hour each week to evaluate the market conditions for making buy or sell decisions.
This book presents a practical approach to investing in the stock market for making money; it is based on analysis of actual market data since 1982. It is unique and different from other books on the subject matter because buy and sell signals generated by the methodology presented in the book make the investing process foolproof and mechanical. It removes the damaging effects of emotions and feelings from the investing process. It guides the investors when to invest in the stock market and when to step aside. It is worthwhile to note that the methodology kept investors out of the 2000 and 2008 bear markets by generating timely sell signals.
The greatest risk in the market is not being in when the prices are rising and not being out when the prices are falling. Therefore, it is very important to know when to buy, what to buy and when to sell. This book answers these questions.
The methodology is based on detecting the medium to long-term market trends and how to strategically trade the market to maximize gain situations.
The investment strategies discussed in this book are based on market timing techniques, with emphasis on technical analysis. It will expose investors to an exciting new approach in timing the stock market.
This book is designed to help to get the most from investments with the least amount of effort and time; it only requires 30 minutes to an hour each week to evaluate the market conditions for making buy or sell decisions.