Trading Tactics in the Financial Market:Mathematical Methods to Improve Performance(Management for Professionals)

金融市场的交易策略:提高绩效的数学方法

货币银行学

售   价:
530.00
发货周期:预计8-10周发货
作      者
出  版 社
出版时间
2022年07月30日
装      帧
平装
ISBN
9783030706241
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页      码
280
开      本
9.21 x 6.14 x 0.59
语      种
英文
版      次
1
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图书简介
Financial markets are not predictable, let alone controllable. The one thing traders and investors can control is their trading tactics, where some can have higher probability of profitability than others. This book explains, by using phase analysis, why some of the indicators, and trading tactics would work better than others, and why some indicators and trading tactics would perform poorly. Emphasis is placed on Awesome Oscillator and Accelerator Oscillator, which are based on Simple Moving Average, a popular tool employed by traders. They are then compared to Moving Average Convergence-Divergence (MACD) and MACD Histogram (MACDH), which are based on exponential moving averages. By varying the parameters of MACD and MACDH, one can change the phase or time delay, and possibly make a larger profit.This book is for practitioners, and includes all MATLAB programs used in the book.
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