Navigating the Stock Market
A Practical Guide for Buying, Selling, and AI Risk Management
- Publisher
Mercury Learning and Information - Published
19th March - ISBN 9781501522772
- Language English
- Pages 320 pp.
- Size 6" x 9"
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- Publisher
Mercury Learning and Information - Published
13th March - ISBN 9781501519680
- Language English
- Pages 320 pp.
- Size 6" x 9"
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- Publisher
Mercury Learning and Information - Published
13th March - ISBN 9781501519697
- Language English
- Pages 320 pp.
- Size 6" x 9"
This book is ideal for individual investors, financial analysts, portfolio managers, and anyone interested in gaining a deeper understanding of stock market investing. It demystifies the complexities of the stock market, offering insightful strategies and practical advice for investors of all levels. Key topics include laying the groundwork of investing through research, numerous buying strategies, techniques for selling to maximize returns and minimize losses, and using AI integration to master the nuances of risk management. The book covers a wide array of topics to equip you with the knowledge and tools necessary for successful stock investing.
FEATURES:
- Explores the impact of artificial intelligence on stock market investing and how to leverage it for better decision-making
- Covers foundational concepts to advanced topics to provide a thorough understanding of stock market dynamics
- Discusses numerous buying and selling techniques for maximizing returns and minimizing losses
1: Planning, Research, and Screening
2: Buying
3: Picking Winning Characteristics
4: Company, Industry, and Sector Analysis
5: Selling
6: Stock Prices and Valuation
7: Profitability and Price Performance
8: Price/Earnings (P/E) Ratio
9: Market Behavior
10: Technical Analysis
11: Monitoring the Economy
12: Monitoring Stocks, Groups, and Sectors 13: Monitoring Market and Psychological Indicators
14: Buying and Selling Mistakes to Avoid
15: Miscellaneous Tips
16: Common Mistakes to Avoid
17: Risk Management
18: AI in Stock Investing
19: AI Risks and How to Mitigate Them
Index
Arshad Khan
Arshad Khan is a professor at the University of California, San Diego and previously co-authored the best-selling title Stock Investing for Everyone: Tools For Investing Like The Pros. He has also authored titles on business intelligence, data warehousing, and SAP.