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Old 12-26-2008, 03:23 PM   #221
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Default Money Never Sleeps


thank you soo much, Corporate Raider!!!
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Offshore Finance
Old 12-27-2008, 04:26 AM   #222
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Default Offshore Finance

Offshore Finance


It is estimated that up to sixty percent of the world's money may be located offshore, where half of all financial transactions are said to take place; however, there is a perception that secrecy about offshore is encouraged to obfuscate tax evasion and money laundering. McCann provides a detailed analysis of the global offshore environment, outlining the extent of the information available and how that information might be used in assessing the quality of individual jurisdictions, as well as examining whether some of the perceptions about 'offshore' are valid. He analyses the ongoing work of the Financial Stability Forum, the Financial Action Task Force, the International Monetary Fund, the World Bank, and the Organisation for Economic Cooperation and Development. The book also offers some suggestions as to what the future might hold for offshore finance.

http://rapidshare.com/files/177118777/Offshore_Finance.pdf
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DeMark on day-trading options
Old 12-28-2008, 06:56 AM   #223
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Default DeMark on day-trading options

DeMark on day-trading options


The option day trading blueprint you've been waiting for!

Options day trading is no walk in the park. But it is your most potentially profitable way to take advantage of the day-trading phenomenon. Put the odds in your favor with Demark on Day DeMark and Thomas DeMark, Jr. Forget complicated formulas! Instead, this nuts-and-bolts guide gives you a set of option trading techniques, indicators, and rules to limit risk without sacrificing profit. You're shown how to:


*Select, design, and build your own highly-personalized trading model
*Use filters and screens to select optimal option trading candidates
*Identify low-risk entry points in up, down, or even sideway markets

You get savvy tips for buying puts or calls based on market, industry, or underlying security ù even get a phone number to get a free, updated TD Indicators demonstration disk. For three decades, traders using breakthroughs like the DeMark Indicators have made fortunes. Now it's your turn!

http://rapidshare.com/files/177440785/Tom_DeMark__-_DeMark_on_day-trading_options.pdf
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Financial Market Risk - Measurement and Analysis
Old 12-29-2008, 03:52 AM   #224
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Default Financial Market Risk - Measurement and Analysis

Financial Market Risk - Measurement and Analysis


This new book uses advanced signal processing technology to measure and analyze risk phenomena of the financial markets. It explains how to scientifically measure, analyze and manage non-stationarity and long-term time dependence (long memory) of financial market returns. It studies, in particular, financial crises in persistent financial markets, such as stock, bond and real estate market, and turbulence in anti–persistent financial markets, such as anchor currency markets. It uses Windowed Fourier and Wavelet Multiresolution Analysis to measure the degrees of persistence of these complex markets, by computing monofractal Hurst exponents and multifractal singularity spectra. It explains how and why financial crises and financial turbulence may occur in the various markets and why we may have to reconsider the current wave of term structure modeling based on affine models. It also uses these persistence measurements to improve the financial risk management of global investment funds, via numerical simulations of the nonlinear diffusion equations describing the underlying high frequency dynamic pricing processes.

http://rapidshare.com/files/177713214/Financial_Market_Risk_-_Measurement_and_Analysis.pdf
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Handbook of Fixed Income Securities
Old 12-30-2008, 05:33 AM   #225
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Default Handbook of Fixed Income Securities

Handbook of Fixed Income Securities


The world’s #1 fixed income book, now with 21 all-new chapters

The Handbook of Fixed Income Securities occupies the top spot as the most authoritative, widely read reference in the global fixed income marketplace. First published in 1983, this comprehensive survey of current knowledge features contributions from leading academics and practitioners and has carved out a niche that cannot and will not be equaled by any other single sourcebook.

Now, the thoroughly revised and updated seventh edition gives finance professionals the facts and formulas they need to compete in today’s transformed marketplace. It places increased emphasis on applications, electronic trading, and global portfolio management, and features new chapters on topics including:

* Eurobonds
* Emerging market debt
* Credit risk modeling
* Synthetics
* CDOs
* Transition management
* And many more

http://rapidshare.com/files/178039307/Handbook_of_Fixed_Income_Securities_0071440992.pdf
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Option Trader's Guide To Probability,Volatility & Timing
Old 12-31-2008, 06:17 AM   #226
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Default Option Trader's Guide To Probability,Volatility & Timing

Option Trader's Guide To Probability,Volatility & Timing


A comprehensive guide that lets you play the options game with confidence
Due to the uncontrollable elements associated with options, many traders find themselves without practical strategies for specific situations. The Option Trader's Guide to Probability, Volatility, and Timing offers traders a variety of strategies to trade options intelligently and confidently in any given situation. With detail and objectivity, this book sets forth risk assessment guidelines, explains risk curve analysis, discusses exit methods, and uncovers some of the biggest mistakes options traders make. The Option Trader's Guide provides readers with strategies for trading options as well as expert advice on when to implement those strategies.

http://rapidshare.com/files/178354285/Option_Trader_s_Guide_To_Probability__Volatility___Timing.pdf
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The Geometry Of Stock Market Profits
Old 01-02-2009, 06:28 AM   #227
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Default The Geometry Of Stock Market Profits

The Geometry Of Stock Market Profits


This book is about Jenkins' proprietary techniques, with major emphasis on cycle analysis, how he views and uses the methods of W. D. Gann, and the geomery of time and price. Among the many topics, you will learn:

1. Which angles are important and how to draw them correctly.
2. How professional traders think and the types of strategies they use day to day.
3. How to place stops correctly.
4. How to construct and use Gann Squares for analysis and forecasting of individual stocks and commodities.
5. How long the basic trend can be expected to last.
6. When and where to buy and well
7. How to utilize Gann angles and methods that predict exact turning points with high probability.
8. The numerological interrelationships of price and time forecasting.
9. Ten trading tips to make you rich.

This book is a trading classic and you will treasure the contribution it will make to your trading proficiency and profit.

http://rapidshare.com/files/178915052/MICHAEL_S_JENKINS_-_The_Geometry_Of_Stock_Market_Profits.pdf
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Quality Money Management
Old 01-03-2009, 04:55 AM   #228
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Default Quality Money Management

Quality Money Management


The financial markets industry is at the same crossroads as the automotive industry in the late 1970s. Margins are collapsing and customization is rapidly increasing. The automotive industry turned to quality and its no coincidence that in the money management industry many of the spectacular failures have been due largely to problems in quality control. The financial industry in on the verge of a quality revolution.
New and old firms alike are creating new investment vehicles and new strategies that are radically changing the nature of the industry. To compete, mutual funds, hedge fund industries, banks and proprietary trading firms are being forced to quicklyy research, test and implement trade selection and execution systems. And, just as in the early stages of factory automation, quality suffers and leads to defects. Many financial firms fall short of quality, lacking processes and methodologies for proper development and evaluation of trading and investment systems.
Authors Kumiega and Van Vliet present a new step-by-step methodology for such development. Their methodology (called K|V) has been presented in numerous journal articles and at academic and industry conferences and is rapidly being accepted as the preferred business process for the institutional trading and hedge fund industries for development, presentation, and evaluation of trading and investment systems. The K|V model for trading system development combines new product development, project management and software development methodologies into one robust system.

http://rapidshare.com/files/179234313/Quality_Money_Management.pdf
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The 8 biggest Mistakes People Make with their Finances Before and After Retirement
Old 01-04-2009, 05:21 AM   #229
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Default The 8 biggest Mistakes People Make with their Finances Before and After Retirement

The 8 biggest Mistakes People Make with their Finances Before and After Retirement


According to financial expert and author Terrence L. Reed, there are eight mistakes that he has seen with painful regularity in his years of practice as a financial advisor. These are: #1 Not investing for the long term #2 Taking on financial risk #3 Failing to do dignity planning #4 Not having good long-term care coverage #5 Not properly planning for estate transfer #6 Paying too much in taxes #7 Using the wrong investment strategies #8 Having the wrong type of life insurance

To fix these eight mistakes, follow the proven, commonsense strategies outlined in The 8 Biggest Mistakes People Make with Their Finances Before & After Retirement. Guiding readers how to live comfortably in retirement, the author suggests course corrections. He explains and illustrates how to protect retirement funds, safeguard financial security, provide for loved ones, use the best retirement funds distribution options, avoid excessive risk, minimize tax exposure, select low-cost investments with the highest potential returns, and invest for the future.

http://rapidshare.com/files/179571687/The_8_biggest_Mistakes_People_Make_with_their_Finances_Before_and_After_Retirement_-_T.L.Reed.pdf
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A Practical Guide to Forecasting Financial Market Volatility
Old 01-05-2009, 05:29 AM   #230
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Default A Practical Guide to Forecasting Financial Market Volatility

A Practical Guide to Forecasting Financial Market Volatility


Financial market volatility forecasting is one of today's most important areas of expertise for professionals and academics in investment, option pricing, and financial market regulation. While many books address financial market modelling, no single book is devoted primarily to the exploration of volatility forecasting and the practical use of forecasting models. A Practical Guide to Forecasting Financial Market Volatility provides practical guidance on this vital topic through an in-depth examination of a range of popular forecasting models. Details are provided on proven techniques for building volatility models, with guide-lines for actually using them in forecasting applications.

http://rapidshare.com/files/179901496/A_Practical_Guide_to_Forecasting_Financial_Market_Volatility_0470856130.pdf
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