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Volatility Illuminated: Empowering Forex, Stocks, Options & Futures

Why is Volatility Illuminated so powerful? Because Volatility Illuminated unlocks new and innovative information about indicator and information failure, volatility and probability, institutional order flow, mass, force, and energy... Volatility Illuminated presents durable up-to-the-minute strategies for intraday and swing traders (institutional and retail) including: WVAV - Whistler Volume Adjusted Volatility (assisting VWAP trading), WAVE-PM - Whistler Active Volatility Energy Price Mass, Fibonacci Pitchforks, and Quad CCI. In addition, readers will learn the importance of subset distribution compression, expansion, acceleration, force and mass, all pulled together in a simple, easy-to-understand format. Volatility Illuminated elucidates critical underpinnings of market volatility and price action, which many never discover. Volatility Illuminated is timely, empowering, applicable, and can help traders understand erratic movements within markets...once and for all.

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The Swing Traders Bible: Strategies to Profit from Market Volatility (Wi

The Swing Trader's Bible provides traders with different strategies to capitalize on market fluctuations. The majority of the time, most markets move sideways, with no discernible long-term up or down trend. The key to making money in these kinds of markets is to sell when the market is near the top of its range and buy when it's near the bottom of its range. The authors explain how to use fundamental stock analysis and technical analysis to spot swing trading opportunities. They then provide very specific techniques for entering and exiting the market, including: channel analysis; momentum indicators; stock sector leaders/followers; market cycles; overbought/oversold indicators; trading volume; and money flows. The authors explain how to swing trade by taking outright positions in stocks or by using various options strategies. Most of the book is devoted to swing trading using individual stocks, but the authors also explain swing trading opportunities in stock indexes and in exchange-traded funds.

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Volatility and Correlation: The Perfect Hedger and the Fox (Wiley Financ

In Volatility and Correlation 2nd edition: The Perfect Hedger and the Fox, Rebonato looks at derivatives pricing from the angle of volatility and correlation. With both practical and theoretical applications, this is a thorough update of the highly successful Volatility & Correlation – with over 80% new or fully reworked material and is a must have both for practitioners and for students. The new and updated material includes a critical examination of the ‘perfect-replication’ approach to derivatives pricing, with special attention given to exotic options; a thorough analysis of the role of quadratic variation in derivatives pricing and hedging; a discussion of the informational efficiency of markets in commonly-used calibration and hedging practices. Treatment of new models including Variance Gamma, displaced diffusion, stochastic volatility for interest-rate smiles and equity/FX options. The book is split into four parts. Part I deals with a Black world without smiles, sets out the author’s ‘philosophical’ approach and covers deterministic volatility. Part II looks at smiles in equity and FX worlds. It begins with a review of relevant empirical information about smiles, and provides coverage of local-stochastic-volatility, general-stochastic-volatility, jump-diffusion and Variance-Gamma processes. Part II concludes with an important chapter that discusses if and to what extent one can dispense with an explicit specification of a model, and can directly prescribe the dynamics of the smile surface. Part III focusses on interest rates when the volatility is deterministic. Part IV extends this setting in order to account for smiles in a financially motivated and computationally tractable manner. In this final part the author deals with CEV processes, with diffusive stochastic volatility and with Markov-chain processes. Praise for the First Edition: “In this book, Dr Rebonato brings his penetrating eye to bear on option pricing and hedging.… The book is a must-read for those who already know the basics of options and are looking for an edge in applying the more sophisticated approaches that have recently been developed.” —Professor Ian Cooper, London Business School “Volatility and correlation are at the very core of all option pricing and hedging. In this book, Riccardo Rebonato presents the subject in his characteristically elegant and simple fashion…A rare combination of intellectual insight and practical common sense.” —Anthony Neuberger, London Business School

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Advanced Options Trading: Approaches, Tools, and Techniques for Professi

As an active trader in today’s market, you are faced with unprecedented challenges. Dramatic price swings in equity, debt, and currency have made it tougher than ever to manage and trade risk. But with great risk, of course, comes great opportunity— and Advanced Options Trading delivers a detailed system for successfully trading options in a highly volatile and unpredictable global market. Noted options educator and owner of his own brokerage house, Kevin M. Kraus explains the best practices for using options to capture premium, reduce equity purchase prices, manage the costs of buying options, and control portfolio risk—critical skills for finding steady profits in our ever-shifting economic landscape. He offers a close examination of the nature of volatility and what it means for investors, whether they’re just getting started or are veterans of the options market. Advanced Options Trading covers: The critical nature of forward-looking implied volatility Ways to level the volatility playing field with options Techniques for adding value to a portfolio while managing risk The functions of price hedging— and how to do it effectively Interest rate options and which factors drive debt markets Options analysis techniques Options are among the most valuable tools for hedging and risk management, and they also function as profitable investment vehicles, allowing you to make bearish trades through radical market shifts. Advanced Options Trading provides a solid foundation on the options market, along with the necessary skills for trading and managing risk in today’s constantly expanding and contracting market.

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Volatility and Correlation: In the Pricing of Equity, FX and Interest-Ra

"What is at stake is not some obscure academic point, but lies at the very heart of option pricing, and will inform the users’ decisions insofar as their choice of pricing model is concerned." From the Introduction In his new book, Riccardo Rebonato introduces financial professionals to the practical and subtle use of the concepts of volatility (the degree of randomness in a price movement) and correlation (the relationship between the changes in value of two financial assets) in the pricing of complex options. By explaining this approach in clear and accessible terms, the author provides traders, risk managers, financial professionals and students with the tools to undertake an effective investigation of option pricing models both at the qualitative and the quantitative level. "In this book Dr Rebonato brings his penetrating eye to bear on option pricing and hedging. In his usual intuitive style he critically examines a variety of approaches to equity, currency and interest-rate options. The book is full of practical insights that reflect a wealth of experience in applying these models. The book is a ‘must read’ for those who already know the basics of options and are looking for an edge in applying the more sophisticated approaches that have recently been developed." Professor Ian Cooper, London Business School "This book is a blend of the theoretical, the practical, and the abstract, but always staying in contact with reality. I don’t agree with everything in it, but it taught me a thing or two. Read it carefully and thoroughly." Paul Wilmott, author of Derivatives "Volatility and correlation are at the very core of all option pricing and hedging. In this book, Riccardo Rebonato presents the subject in his characteristically elegant and simple fashion. He rightly emphasises the financial and economic assumptions which underpin the models, and gives salutary warnings against models which overfit the current structure of prices but which perform poorly in predicting future behaviour. A rare combination of intellectual insight and practical common sense." Anthony Neuberger, Associate Professor, Institute of Finance and Accounting, London Business School

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D. Passarelli's,W. J. Brodsky's Trading Option Greeks illustra

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Fighting the Stock Market Bear: Turning Volatility Into Profits

The stock market crash of 2008 changed everything. Trading systems with high success rates were suddenly obsolete or at least far less effective. In a dynamic market we need to change and adapt. Fighting the Stock Market Bear does just that.This 168 page book (6x9 paperback format) is designed to teach new and experienced traders how to survive in these turbulent markets. This is not a book full of worn out cliches or techniques that were popular in the 90's. Fighting the Stock Market bear is a complete trading system that covers:*screening the right kind of stocks in bull and bear markets*a unique blend of indicators for entry and exit signals*how to limit risk*how to expertly read price and volume charts*hot to understand market forces and identify bull or bear cycles*how to vastly outperform the market averages*become a technical analysis guruThis book is not for the armchair trader that puts his money in mutual funds and hopes for the best. This manual is a strategy guide for those who will actively and profitably manage their portfolios. The introduction quickly explains the macro problem of why our markets are in distress. Chapter 1 reveals a trustworthy method for determining the current market cycle. This one chapter alone could help an investor double his rate of return over the market index. Chapter 2 gives a brief summary of fundamental factors that will drive stocks up in bull markets yet make them profitable shorting picks in bear markets. Chapters 3 through 6 provide the meat of the system by giving a combination of indicators that will have you buying a stock at the earliest and safest point, holding it for maximum gain, and selling at the right time regardless of public opinion. The unique blend of tools you will use cover volume strategy, momentum and trend techniques and more. These are used as stand alone indicators but must be traded in a specific combination for a reduced risk trade. Chapter 7 puts the package together with trading examples for you to practice with. Chapter 8 and the appendix provide a few other helpful strategies, ones that will provide hedging insurance in these volatile markets. A worksheet is included as a checklist for each prospective trade.This is one book that you cannot afford to put off buying. In today's dynamic market you either learn to survive or be ruined.

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Real-Time Futures Trading: How to Use Price, Volume and Volatility to Ma

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Commodity Options: Trading and Hedging Volatility in the World's Mo

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The Profitability of Trading Rules and Volatility in Emerging Financial

$12.54 Show Detail »

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