Description |
xx, 393 pages ; 25 cm |
Series |
The Irwin trader's edge series |
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Irwin trader's edge series.
|
Contents |
Ch. 28. Combined Money Market Strategies -- Ch. 29. Consistent Strategies |
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Pt. 1. How to Evaluate a System -- Ch. 1. Percentages and Normalized Moves -- Ch. 2. Calculating Profit -- Ch. 3. Probability and Percent of Profitable Trades -- Ch. 4. Risk -- Ch. 5. Drawdown and Losses -- Ch. 6. Quality Data -- Pt. 2. Trading System Development -- Ch. 7. TradeStation Coding -- Ch. 8. Hybrid System No. 1 -- Ch. 9. RS System No. 1 -- Ch. 10. Meander System V.1.0 -- Ch. 11. Relative Strength Bands -- Ch. 12. Rotation -- Ch. 13. Volume-weighted Average -- Ch. 14. Harris 3L-R Pattern Variation -- Ch. 15. Expert Exits -- Ch. 16. Evaluating System Performance -- Pt. 3. Stops, Filters, and Exits -- Ch. 17. Distribution of Trades -- Ch. 18. Exits -- Ch. 19. Placing Stops -- Ch. 20. Adding Exits -- Ch. 21. Systems as Filters -- Ch. 22. Variables -- Ch. 23. Evaluating Stops and Exits -- Pt. 4. Money Management -- Ch. 24. The Kelly Formula -- Ch. 25. Fixed Fractional Trading -- Ch. 26. Dynamic Ratio Money Management -- Ch. 27. Spreadsheet Development |
Notes |
Includes index |
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Formerly CIP. Uk |
Bibliography |
Includes index |
Subject |
Stocks.
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Stocks -- Prices.
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Finance.
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LC no. |
2002015461 |
ISBN |
0071400192 |
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