Playing for Keeps in Stocks and Futures offers traders three winning strategies for trading stocks and futures under any market condition and within any timeframe-from one minute to one month. Tom Bierovic details his newly developed trading strategies-First Prize, R2D2, and Triple Play-and shows you how to integrate them with various technical indicators and analytical techniques to create low-risk, high-reward trading opportunities. Bierovic clearly explains the development of each system, lists the rules, and provides real-world examples from a wide variety of stocks and futures in several timeframes to illustrate how and why each strategy works so well. With these lessons, you'll quickly learn how to use Bierovic's original strategies to enter, manage, and exit your trades profitably. This complete guide to stock and futures trading opens with a brief introduction to price swings, impulse waves, corrective waves, and critical points and explains how the extreme and continuous variation in the duration and magnitude of price swings makes it possible for traders to speculate profitably. It also reveals the three components of a complete trading strategy-setups, entries, and exits-and how you should use them when trading with First Prize, R2D2, or Triple Play. Before entering into an in-depth discussion of these three winning trading strategies, Playing for Keeps in Stocks and Futures explains the tools used in them including: breakouts to new highs and lows, directional movement index spread (DMI spread), exponential moving averages (EMAs), Fibonacci retracement zones, Japanese candlestick charts, moving average convergence-divergence (MACD), parabolic stops, trendlines, true range and average true range (ATR). In explaining his three new trading strategies-First Prize, R2D2, and Triple Play-Bierovic breaks down each strategy into its setup, entry, and exit components and illustrates how to implement each strategy through charts, graphs, and vivid examples from both the stock and futures markets. Most importantly, you'll learn the unique qualities of each strategy and understand how the three strategies taken together can profit in any market conditions.(First Prize trades first pullbacks; R2D2 trades subsequent pullbacks; Triple Play trades trend reversals.) Take advantage of the tremendous opportunities offered to you by trading with First Prize, R2D2, and Triple Play. With these three strategies in your trading arsenal, you too will soon be playing for keeps in stocks and futures. Tom Bierovic, President of the Synergy Trading Group, has been trading stocks and futures successfully since 1971. Tom is also a popular and respected speaker: he has presented highly rated seminars on technical analysis and trading at major conferences throughout the United States and in more than 40 countries on six continents. Futures magazine, Futures World News, and Technical Analysis of Stock & Commodities magazine have all published in-depth interviews with Tom, and he is featured in the book Real People, Real Traders by Ruggiero and Toghraie. For information on products and services offered by the Synergy Trading Group, you can contact Tom by e-mail at tbierovic@aol.com.
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对于我这样一个偏爱技术分析的老派投资者来说,这本书最大的贡献在于它帮助我拓宽了视野,正视了基本面分析的价值。起初,我有点抵触那些关于宏观经济趋势和地缘政治风险的冗长描述,觉得那都是对图表走势的干扰项。但作者用一系列极具说服力的跨市场案例证明了,脱离了宏观大背景谈论短线交易,无异于在不知道天气预报的情况下出海捕鱼。他论证了利率政策如何像一只无形的大手,塑造着整个资产类别的风险偏好。这种自上而下的思维框架,极大地提升了我分析市场时的战略高度。我不再满足于仅仅预测下一根K线的方向,而是开始思考“为什么”会是这个方向。这本书的价值在于,它提供了一套完整的、可以相互印证的分析工具箱,而不是一堆孤立的技巧。读完后,我感觉自己不再是一个被动跟随市场的散户,而更像是一个有能力预判风暴来临的瞭望者。
评分我不得不说,这本书的深度和广度都超出了我最初的预期。它不仅仅停留在基础的买卖技巧层面,而是深入探讨了宏观经济背景与特定资产类别之间的复杂互动关系。作者在分析全球金融危机对不同市场的影响时,所引用的数据和图表都经过了精心的筛选和编排,逻辑链条严密到几乎没有可以指摘的漏洞。特别是关于如何在高度不确定的市场环境下构建对冲策略的论述,那部分内容简直是教科书级别的演示。我尝试将书中的一些理论模型应用到我过去几年的交易数据中进行回溯测试,结果令人信服地表明,作者提出的某些风险敞口调整方法确实能显著提高夏普比率。然而,这本书的门槛也不算低,对于那些完全没有接触过金融衍生品概念的读者来说,可能需要先查阅一些基础词汇表。但对于有一定经验,希望将策略从“有效”提升到“优化”阶段的专业人士而言,这本书无疑是一剂强效的催化剂。
评分这本书的封面设计着实抓人眼球,那种深邃的蓝色调配上明亮的金色字体,立刻给人一种专业、权威的感觉。翻开扉页,里面的排版和印刷质量也相当不错,纸张的触感很好,长时间阅读也不会让人感到疲劳。我特别欣赏作者在讲解复杂概念时所展现出的那种清晰的逻辑和耐心。他并没有一上来就抛出那些晦涩难懂的专业术语,而是循序渐进地引导读者进入市场运作的核心机制。对于初入金融市场的人来说,这本书就像一位经验丰富的老向导,手持火把,带领我们穿过迷雾。尤其是一些关于风险管理和情绪控制的章节,简直是醍醐灌顶。作者用生动的案例说明了市场先生的非理性行为是如何影响我们的决策的,这远比那些枯燥的公式来得有效。我发现自己读完这些部分后,看待自己的交易记录的视角都发生了微妙的转变,不再是单纯地关注盈亏数字,而是更深入地去剖析背后的心理动因。整体而言,这本书在构建投资者的知识体系和心智成熟度方面,做得非常扎实,为后续深入学习打下了坚实的基础。
评分这本书的结构设计非常巧妙,它没有采用传统的章节递进模式,而是将内容分为了几个相互关联却又各自独立的“实战模块”。这种编排方式的好处是,即使你时间有限,也可以随时切入任何一个你最感兴趣或最需要加强的部分进行深度阅读。我个人最喜欢的是关于市场情绪指标的章节,作者详细介绍了如何通过观察成交量异动和期权未平仓合约的变化来捕捉市场拐点。他提供的那些技术指标的组合运用方式,并非简单的叠加,而是基于他对市场微观结构的深刻理解。读到此处,我深切体会到,作者不仅仅是一个理论家,更是一个在市场中摸爬滚打出来的实干家。他的每一个论断后面,似乎都藏着一个真实的、可能亏损惨重的交易故事作为支撑。这种基于实践的反思,使得书中的每一个建议都充满了重量感,让人不敢轻易忽视。它成功地将冰冷的数学工具与火热的人性博弈结合在了一起。
评分这本书的叙事风格实在是太对我的胃口了!它不像那些学院派的教材那样板着脸孔说教,反而像一位资深交易员在午后咖啡馆里跟你分享他的血泪史和实战心得。作者的语言充满了活力和洞察力,他擅长用生活化的比喻来解释那些听起来高不可攀的金融衍生品结构。比如,他对期权时间价值衰减的描述,简直像在描绘一场永不回头的日落,让人瞬间领悟了“时间就是金钱”这句老话背后的真正含义。更让我印象深刻的是,作者并没有鼓吹一夜暴富的神话,相反,他对市场中隐藏的陷阱和人性的弱点进行了无情的揭露。他反复强调纪律和一致性的重要性,指出那些在市场中长期生存下来的人,无一不是在控制自己方面做得比控制市场更出色。这种务实的态度,让我这个曾经被虚假承诺诱惑过的“韭菜”感到无比的踏实。读完之后,我不是感觉自己掌握了什么“独家秘籍”,而是获得了一种更健康、更可持续的投资哲学,这才是真正的宝藏。
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