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Stock Market Math: Essential formulas for selecting and managing stock and risk Perfect Paperback November 20, 2017
Stock Market Math is the definitive reference for all investors and traders, with over 125 formulas and Excel programs covering return, leverage, risk, fundamental and technical analysis problems
Stock Market Math: Essential formulas for selecting and managing stock and risk Perfect Paperback November 20, 2017
Item #: 19028809

Stock Market Math: Essential formulas for selecting and managing stock and risk Perfect Paperback November 20, 2017

Item #: 19028809

MMK 147979

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Stock Market Math is the definitive reference for all investors and traders, with over 125 formulas and Excel programs covering return, leverage, risk, fundamental and technical analysis problems
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What Stands Out

Comprehensive Formulas
Provides essential mathematical formulas for stock selection and management, essential for both novice and experienced investors aiming to enhance their trading strategies and decision-making abilities.
Risk Management Focus
Emphasizes the importance of risk management, equipping investors with critical techniques to assess and mitigate potential losses in volatile market conditions, ensuring a more robust investment approach.
User-Friendly Guide
Designed to be accessible, this guide breaks down complex financial concepts into understandable elements, making it a valuable resource for anyone looking to improve their stock market skills effectively.

Product Details

Discover essential formulas for selecting and managing stocks while limiting risk. A must-read guide for understanding the stock market and maximizing profits. Written by Michael C. Thomsett. Shop at Ubuy Myanmar
  • Contains over 125 formulas and Excel programs for calculating return, leverage, risk, and various analysis problems
  • Provides examples and narrative discussions for explaining the application of formulas
  • Offers instant answers to calculate trades, quantify risk, evaluate leverage, and utilize technical indicators
  • Authored by Michael C. Thomsett, a market expert, author, speaker, and coach
  • Includes more than 50 endnotes, 50 figures and tables to advance the science of risk management and stock evaluation
  • Serves as the definitive reference for all investors and traders
Item Weight1.2 lbs (540 grams)

Who Should Buy?

Suitable For
  • Beginner Investors

    Ideal for those starting out in stock trading and needing foundational mathematical concepts for investment decisions.

  • Finance Students

    Perfect for students studying finance who require a solid grasp of stock market mathematics for their coursework.

  • Risk Managers

    Useful for professionals in risk management looking to understand quantitative methods for assessing stock risks effectively.

Not Suitable For
  • Experienced Traders

    Advanced traders may find the content too basic and lacking in complex strategies they already understand.

  • Casual Investors

    Those who only occasionally invest may not need detailed mathematical formulas and might prefer simpler guides.

  • Quantitative Analysts

    Professionals in quantitative analysis may not find the book sufficiently advanced for their sophisticated modeling needs.

Product Description

Stock Market Math: Essential formulas for selecting and managing stock and risk Perfect Paperback November 20, 2017

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Customer Questions & Answers

  • Question: What is 'Stock Market Math: Essential formulas for selecting and managing stock and risk' about?

    Answer: This book provides essential mathematical formulas and concepts that aid investors in making informed decisions about selecting and managing stocks. It covers fundamental principles such as risk assessment, valuation metrics, and performance analysis, allowing readers to apply quantitative methods to their investment strategies. Understanding these mathematical principles is crucial for successfully navigating the complexities of the stock market.
  • Question: Who is the target audience for this book?

    Answer: The primary audience for this book includes both novice and experienced investors seeking to deepen their understanding of stock market mathematics. Additionally, students and professionals in finance and investment fields will find the formulas and applications beneficial for their studies and careers. By helping readers harness the power of math in finance, this resource enhances decision-making skills in various market scenarios.
  • Question: How can the formulas in this book assist in managing investment risk?

    Answer: The formulas presented in the book equip investors with tools to quantify and manage risk effectively. For example, concepts such as standard deviation and beta are explained in detail, allowing readers to assess the volatility of stocks in relation to the market. By applying these formulas, investors can construct diversified portfolios that minimize risk while maximizing potential returns.
  • Question: Is this book suitable for beginners in stock trading?

    Answer: Yes, this book is designed to be accessible for beginners, providing clear explanations and practical examples for applying mathematical concepts to stock trading. The formulas are laid out in a way that progressively builds knowledge, helping newcomers understand how quantitative analysis affects investment decisions. Thus, even those new to trading can develop a solid foundation in stock market math.
  • Question: Are there any real-world examples provided in the book?

    Answer: Absolutely! The book features numerous real-world examples that illustrate how mathematical formulas apply to actual market scenarios. These case studies help bridge the gap between theory and practice, allowing readers to visualize the application of concepts in their investment strategies. This practical approach enhances understanding and retention of essential stock market math.
  • Question: Can this book be used as a reference for finance classes?

    Answer: Definitely! 'Stock Market Math' serves as an excellent reference for finance classes, offering a solid curriculum resource for both educators and students. The rigorous explanation of formulas and their applications makes it suitable for academic settings, providing students with the tools they need to succeed in real-world stock trading and investment analysis.
  • Question: What mathematical skill level is required to understand the content?

    Answer: While a foundational understanding of basic arithmetic is beneficial, the book is crafted to be approachable for readers with varying skill levels. The concepts are presented gradually, ensuring that even those with limited math experience can grasp the material. Dedicated readers will find themselves gaining confidence in applying math to their stock market endeavors.
  • Question: How can the concepts in this book improve investment strategies?

    Answer: The concepts in this book can significantly improve investment strategies by providing insights into quantitative methods for stock selection and risk management. Readers learn to utilize metrics such as price-to-earnings ratios and return on equity effectively in their decision-making processes. This knowledge allows investors to craft strategies tailored to their risk tolerance and market conditions.
  • Question: What are some key formulas covered in this book?

    Answer: Key formulas include the Capital Asset Pricing Model (CAPM), Sharpe Ratio, and various valuation metrics like the Price/Earnings ratio. Each formula is accompanied by practical examples and explanations enabling readers to understand how to use them effectively. Mastering these formulas positions investors to analyze stocks meticulously and make data-driven decisions.
  • Question: Where can I buy Stock Market Math: Essential formulas for selecting and managing stock and risk 1st Edition?

    Answer: You can purchase 'Stock Market Math: Essential formulas for selecting and managing stock and risk 1st Edition' conveniently at Ubuy in Myanmar. Ubuy offers a user-friendly platform that makes it easy to find the book you need, ensuring you can enhance your investment knowledge with just a few clicks.

Options Editorial Review

"Stock Market Math: The Essential Formulas for Selecting and Managing Stock and Risk" is a comprehensive guide that provides readers with essential formulas and knowledge to navigate the stock market. The book is well-received by customers, who praise its ability to explain complex concepts in an understandable manner. The book is highly informative and fascinating, making it an enjoyable read for those interested in the stock market. The author, Mr. Thomsett, showcases his extensive knowledge of finance and effectively applies it to real-world scenarios. Readers appreciate his ability to convey the conceptual behind calculating prices, valuations, and understanding portfolios. One of the standout features of the book is the inclusion of Excel formulas, which serve as valuable tools for readers looking to apply the concepts they learn. However, some customers express a desire for more in-depth coverage of mathematical formulas related to the stock market. Overall, "Stock Market Math: The Essential Formulas for Selecting and Managing Stock and Risk" is a highly recommended book for individuals who have an interest in the stock market and wish to improve their understanding of it. The author's expertise in finance combined with the book's practical approach and inclusion of Excel formulas make it a valuable resource.

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Pros

  • Highly informative and fascinating
  • Author demonstrates extensive knowledge of finance
  • Concepts are explained in an understandable manner
  • Includes Excel formulas for practical application

Cons

  • Some customers desire more in-depth coverage of mathematical formulas

Product Price History

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