Flash And Crash Days

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Flash and Crash Days

Author : David George
Publisher : Routledge
Page : 208 pages
File Size : 41,6 Mb
Release : 2002-09-11
Category : Literary Criticism
ISBN : 9781135576462

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Flash and Crash Days by David George Pdf

Flash and Crash Days: Brazilian Theater in the Post-Dictatorship Period deals with the theater produced in Brazil during the 1980s and 1990s, especially postmodernist directors, women playwrights, and theater companies. It attempts to answer the following questions: Did the thriving stage of the 1950s and 60s wither during the reign of terror in the early 1970s, unleashed in the wake of the 1968 state of siege declared by the generals? Did the return to civilian government fail to create conditions for a new theater? A cursory glance at what little U.S. commentary on Brazilian theater has appeared in recent years could well lead one to answer all of the above questions in the affirmative. Scholars beyond Brazil's borders appear to have bonded with those individuals and companies which contested and then fell victim to repression in the 1960s and 1970s. So pervasive is this scholarly trend that a vacuum, an empty stage has been created. There seems to be an unstated assumption that theater in Brazil thrives only under repression and dictatorship. It is an illusory vacuum. Flash and Crash Days examines how the absence of censorship, on the one hand, and the exigencies of protest and ideological purity on the other, have given rise to a variety of theatrical modes which Brazil has never experienced in the past, allowing all voices the opportunity to be heard in the marketplace of artistic ideas: women's perspectives, particularly those expressed by playwrights; sexual identity, including gender construction and gay perspectives; psychological issues; the individual in society; religion; formal experimentation

Flash Crash

Author : Liam Vaughan
Publisher : Doubleday
Page : 234 pages
File Size : 46,5 Mb
Release : 2020-05-12
Category : True Crime
ISBN : 9780385543668

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Flash Crash by Liam Vaughan Pdf

"[An] extraordinary tale"—Wall Street Journal "Compelling [and] engaging"—Financial Times "Magnificently detailed yet pacy...Think Trading Places meets Wall Street"—Sunday Times (UK) The riveting story of a trading prodigy who amassed $70 million from his childhood bedroom—until the US government accused him of helping trigger an unprecedented market collapse On May 6, 2010, financial markets around the world tumbled simultaneously and without warning. In the span of five minutes, a trillion dollars of valuation was lost. The Flash Crash, as it became known, represented what was then the fastest drop in market history. When share values rebounded less than half an hour later, experts around the globe were left perplexed. What had they just witnessed? Navinder Singh Sarao hardly seemed like a man who would shake the world's financial markets to their core. Raised in a working-class neighborhood in West London, Nav was a preternaturally gifted trader who played the markets like a computer game. By the age of thirty, he had left behind London's "trading arcades," working instead out of his childhood home. For years the money poured in. But when lightning-fast electronic traders infiltrated markets and started eating into his profits, Nav built a system of his own to fight back. It worked—until 2015, when the FBI arrived at his door. Depending on whom you ask, Sarao was a scourge, a symbol of a financial system run horribly amok, or a folk hero who took on the tyranny of Wall Street and the high-frequency traders. A real-life financial thriller, Flash Crash uncovers the remarkable, behind-the-scenes narrative of a mystifying market crash, a globe-spanning investigation into international fraud, and a man at the center of them both.

Flash Crash

Author : Liam Vaughan
Publisher : William Collins
Page : 272 pages
File Size : 54,8 Mb
Release : 2021-02-04
Category : Electronic
ISBN : 0008270430

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Flash Crash by Liam Vaughan Pdf

On May 6, 2010, financial markets around the world tumbled simultaneously and without warning. In the span of five minutes, a trillion dollars of valuation was lost. The Flash Crash, as it became known, represented the fastest drop in market history. When share values rebounded less than half an hour later, experts around the globe were left perplexed. What had they just witnessed? Navinder Singh Sarao hardly seemed like a man who would shake the world's financial markets to their core. Raised in a working-class neighbourhood in West London, Nav was a preternaturally gifted trader who played the markets like a computer game. By the age of thirty, he had left behind London's trading arcades, working instead out of his childhood home. For years the money poured in. But when lightning-fast electronic traders infiltrated markets and started eating into his profits, Nav built a system of his own to fight back. It worked-until 2015, when the FBI arrived at his door. Depending on whom you ask, Sarao was a scourge, a symbol of a financial system run horribly amok, or a folk hero-an outsider who took on the tyranny of Wall Street and the high-frequency traders. A real-life financial thriller, Flash Crash uncovers the remarkable, behind-the-scenes narrative of a mystifying market crash, a globe-spanning investigation into international fraud, and the man at the centre of them both.

Real-Time Risk

Author : Irene Aldridge,Steven Krawciw
Publisher : John Wiley & Sons
Page : 224 pages
File Size : 47,7 Mb
Release : 2017-02-03
Category : Business & Economics
ISBN : 9781119319061

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Real-Time Risk by Irene Aldridge,Steven Krawciw Pdf

Risk management solutions for today's high-speed investing environment Real-Time Risk is the first book to show regular, institutional, and quantitative investors how to navigate intraday threats and stay on-course. The FinTech revolution has brought massive changes to the way investing is done. Trading happens in microsecond time frames, and while risks are emerging faster and in greater volume than ever before, traditional risk management approaches are too slow to be relevant. This book describes market microstructure and modern risks, and presents a new way of thinking about risk management in today's high-speed world. Accessible, straightforward explanations shed light on little-understood topics, and expert guidance helps investors protect themselves from new threats. The discussion dissects FinTech innovation to highlight the ongoing disruption, and to establish a toolkit of approaches for analyzing flash crashes, aggressive high frequency trading, and other specific aspects of the market. Today's investors face an environment in which computers and infrastructure merge, regulations allow dozens of exchanges to coexist, and globalized business facilitates round-the-clock deals. This book shows you how to navigate today's investing environment safely and profitably, with the latest in risk-management thinking. Discover risk management that works within micro-second trading Understand the nature and impact of real-time risk, and how to protect yourself Learn why flash crashes happen, and how to mitigate damage in advance Examine the FinTech disruption to established business models and practices When technology collided with investing, the boom created stratospheric amounts of data that allows us to plumb untapped depths and discover solutions that were unimaginable 20 years ago. Real-Time Risk describes these solutions, and provides practical guidance for today's savvy investor.

Investing with the Trend

Author : Gregory L. Morris
Publisher : John Wiley & Sons
Page : 496 pages
File Size : 51,7 Mb
Release : 2013-12-31
Category : Business & Economics
ISBN : 9781118508374

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Investing with the Trend by Gregory L. Morris Pdf

Investing with the Trend provides an abundance of evidence for adapting a rules-based approach to investing by offering something most avoid, and that is to answer the “why” one would do it this way. It explains the need to try to participate in the good markets and avoid the bad markets, with cash being considered an asset class. The book is in three primary sections and tries to leave no stone unturned in offering almost 40 years of experience in the markets. Part I – The focus is on much of the misinformation in modern finance, the inappropriate use of Gaussian statistics, the faulty assumptions with Modern Portfolio Theory, and a host of other examples. The author attempts to explain each and offer justification for his often strong opinions. Part II – After a lead chapter on the merits of technical analysis, the author offers detailed research into trend analysis, showing how to identify if a market is trending or not and how to measure it. Further research involves the concept of Drawdown, which the author adamantly states is a better measure of investor risk than the oft used and terribly wrong use of volatility as determined by standard deviation. Part III – This is where he puts it all together and shows the reader all of the steps and details on how to create a rules-based trend following investment strategy. A solid disciplined strategy consists of three parts, a measure of what the market is actually doing, a set of rules and guidelines to tell you how to invest based upon that measurement, and the discipline to follow the strategy

The Science of Algorithmic Trading and Portfolio Management

Author : Robert Kissell
Publisher : Academic Press
Page : 492 pages
File Size : 53,7 Mb
Release : 2013-10-01
Category : Business & Economics
ISBN : 9780124016934

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The Science of Algorithmic Trading and Portfolio Management by Robert Kissell Pdf

The Science of Algorithmic Trading and Portfolio Management, with its emphasis on algorithmic trading processes and current trading models, sits apart from others of its kind. Robert Kissell, the first author to discuss algorithmic trading across the various asset classes, provides key insights into ways to develop, test, and build trading algorithms. Readers learn how to evaluate market impact models and assess performance across algorithms, traders, and brokers, and acquire the knowledge to implement electronic trading systems. This valuable book summarizes market structure, the formation of prices, and how different participants interact with one another, including bluffing, speculating, and gambling. Readers learn the underlying details and mathematics of customized trading algorithms, as well as advanced modeling techniques to improve profitability through algorithmic trading and appropriate risk management techniques. Portfolio management topics, including quant factors and black box models, are discussed, and an accompanying website includes examples, data sets supplementing exercises in the book, and large projects. Prepares readers to evaluate market impact models and assess performance across algorithms, traders, and brokers. Helps readers design systems to manage algorithmic risk and dark pool uncertainty. Summarizes an algorithmic decision making framework to ensure consistency between investment objectives and trading objectives.

Market Microstructure

Author : Frédéric Abergel,Jean-Philippe Bouchaud,Thierry Foucault,Charles-Albert Lehalle,Mathieu Rosenbaum
Publisher : John Wiley & Sons
Page : 194 pages
File Size : 52,8 Mb
Release : 2012-04-03
Category : Business & Economics
ISBN : 9781119952787

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Market Microstructure by Frédéric Abergel,Jean-Philippe Bouchaud,Thierry Foucault,Charles-Albert Lehalle,Mathieu Rosenbaum Pdf

The latest cutting-edge research on market microstructure Based on the December 2010 conference on market microstructure, organized with the help of the Institut Louis Bachelier, this guide brings together the leading thinkers to discuss this important field of modern finance. It provides readers with vital insight on the origin of the well-known anomalous "stylized facts" in financial prices series, namely heavy tails, volatility, and clustering, and illustrates their impact on the organization of markets, execution costs, price impact, organization liquidity in electronic markets, and other issues raised by high-frequency trading. World-class contributors cover topics including analysis of high-frequency data, statistics of high-frequency data, market impact, and optimal trading. This is a must-have guide for practitioners and academics in quantitative finance.

Aftershock

Author : David Wiedemer,Robert A. Wiedemer,Cindy S. Spitzer
Publisher : John Wiley & Sons
Page : 400 pages
File Size : 41,9 Mb
Release : 2015-07-07
Category : Business & Economics
ISBN : 9781119118503

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Aftershock by David Wiedemer,Robert A. Wiedemer,Cindy S. Spitzer Pdf

Secure your financial future before the next big bubble bursts Aftershock provides a definitive look at the economic climate still ahead in 2015—and beyond—and details the steps you can take now to secure your financial future. Written by the authors who accurately predicted the financial crisis of 2008 and 2009, this book serves as both a warning and a game plan for investors looking to avoid catastrophic loss. This updated fourth edition has been expanded with new actionable insights about protection and profits in an increasingly confusing investment environment, and includes the latest data, updated charts and tables, and brand new coverage of monetary stimulus. With a look back at the domino fall of the conjoined real estate, stock, and private debt bubbles that triggered the last major crisis, this book paints a vivid picture of what to expect the next time the world's economy pops. You'll learn how to protect your assets before and during the coming fall, and how to capitalize on the opportunities everyone else is missing. The housing bubble has popped, toppling banks and sending shockwaves of stock market misery around the world. It may seem like the worst is over. It's not. This book shows you what's still to come, and how to ride the crest instead of being sucked under. Learn when, why, and how the global bubble will burst Understand the repercussions that will reach into your accounts Get up to date on the data, with expert analysis and insight Start protecting yourself now with a few smart investment moves The stock market, real estate, consumer spending, private debt, dollar, and government debt bubbles will burst, driving up unemployment, devaluing the dollar, and causing deep global recession. Aftershock helps you fortify your assets before the wave so you can enjoy clear skies after the storm.

Aftershock

Author : John David Wiedemer,Robert A. Wiedemer,David Wiedemer,Cindy Spitzer
Publisher : John Wiley & Sons
Page : 384 pages
File Size : 44,7 Mb
Release : 2014-03-31
Category : Business & Economics
ISBN : 9781118375624

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Aftershock by John David Wiedemer,Robert A. Wiedemer,David Wiedemer,Cindy Spitzer Pdf

Explores how to protect assets, businesses, and jobs before and during the coming second wave of the financial meltdown with clear and accurate advice on how to profit from the collapsing bubbles.

The Compleat Day Trader, Second Edition

Author : Jake Bernstein
Publisher : McGraw Hill Professional
Page : 241 pages
File Size : 46,6 Mb
Release : 2010-12-31
Category : Business & Economics
ISBN : 9780071663892

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The Compleat Day Trader, Second Edition by Jake Bernstein Pdf

THE BOOK DAY TRADERS RELY ON TO CAPTURE PROFITS AND LOWER RISK Since The Compleat Day Trader was first published, the tools available to day traders have become incomparably more efficient and effective, thereby dramatically increasing your chances of success. On the flip side, day trading is much riskier and faster paced than ever before. Staying current isn't an option for the serious day trader--it's an absolute necessity. Jake Bernstein has revamped his bestselling guide, The Compleat Day Trader, to bring you fully up to date on his trading model, methods, and indicators, all of which are designed to help you take advantage of dramatically increased volatility in the global stock, futures, and forex markets. In order to generate profits consistently, you need to define your intraday time frames, implement a specific trading model, and develop objective and operational procedures. The Compleat Day Trader walks you through these critical processes step by step to help you execute with focus, logic, and objectivity--no matter how volatile the markets may be. Bernstein’s powerful and clear tools are designed to give you the advantage you'll need. Learn about his: MA Channel Swing Trade with Triggers and Setups MAC Patterns and Signals Power Momentum Day-Trade Formula MACD Divergence Setups and Triggers Gap Day-Trade Method Profit-Maximizing Strategies Media Day-Trade Strategy For fifteen years, traders around the world have been relying on The Compleat Day Trader to help them achieve the highest possible levels of performance. Bernstein presents trading tools and methods that are clear and objective, unlike the mythical, magical, or subjective tools that are so common these days. This refreshed, updated edition of The Compleat Day Trader provides you with the knowledge you need to make handsome profits while lowering your exposure--so you can rise to the top echelon of day traders.

The Road to Ruin

Author : James Rickards
Publisher : Penguin
Page : 352 pages
File Size : 40,7 Mb
Release : 2016-11-15
Category : Business & Economics
ISBN : 9780698198067

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The Road to Ruin by James Rickards Pdf

The bestselling author of The Death of Money and Currency Wars reveals the global elites' dark effort to hide a coming catastrophe from investors in The Road to Ruin, now a National Bestseller. A drumbeat is sounding among the global elites. The signs of a worldwide financial meltdown are unmistakable. This time, the elites have an audacious plan to protect themselves from the fallout: hoarding cash now and locking down the global financial system when a crisis hits. Since 2014, international monetary agencies have been issuing warnings to a small group of finance ministers, banks, and private equity funds: the U.S. government’s cowardly choices not to prosecute J.P. Morgan and its ilk, and to bloat the economy with a $4 trillion injection of easy credit, are driving us headlong toward a cliff. As Rickards shows in this frightening, meticulously researched book, governments around the world have no compunction about conspiring against their citizens. They will have stockpiled hard assets when stock exchanges are closed, ATMs shut down, money market funds frozen, asset managers instructed not to sell securities, negative interest rates imposed, and cash withdrawals denied. If you want to plan for the risks ahead, you will need Rickards’s cutting-edge synthesis of behavioral economics, history, and complexity theory. It’s a guidebook to thinking smarter, acting faster, and living with the comfort­ing knowledge that your wealth is secure. The global elites don’t want this book to exist. Their plan to herd us like sheep to the slaughter when a global crisis erupts—and, of course, to maintain their wealth—works only if we remain complacent and unaware. Thanks to The Road to Ruin, we don’t need to be. "If you are curious about what the financial Götterdämmerung might look like you’ve certainly come to the right place... Rickards believes -- and provides tantalizing snippets of private conversations with those who dwell in the very eye-in-the-pyramid -- that the current world monetary and financial system is on the verge of insolvency and that the world financial elites already have a successor system for which they are laying the groundwork." --Ralph Benko, Forbes

Trading on Sentiment

Author : Richard L. Peterson
Publisher : John Wiley & Sons
Page : 368 pages
File Size : 43,9 Mb
Release : 2016-03-04
Category : Business & Economics
ISBN : 9781119163756

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Trading on Sentiment by Richard L. Peterson Pdf

In his debut book on trading psychology, Inside the Investor’s Brain, Rich­ard Peterson demonstrated how managing emotions helps top investors outperform. Now, in Trading on Sentiment, he takes you inside the science of crowd psychol­ogy and demonstrates that not only do price patterns exist, but the most predictable ones are rooted in our shared human nature. Peterson’s team developed text analysis engines to mine data - topics, beliefs, and emotions - from social media. Based on that data, they put together a market-neutral social media-based hedge fund that beat the S&P 500 by more than twenty-four percent—through the 2008 financial crisis. In this groundbreaking guide, he shows you how they did it and why it worked. Applying algorithms to so­cial media data opened up an unprecedented world of insight into the elusive patterns of investor sentiment driving repeating market moves. Inside, you gain a privi­leged look at the media content that moves investors, along with time-tested techniques to make the smart moves—even when it doesn’t feel right. This book digs underneath technicals and fundamentals to explain the primary mover of market prices - the global information flow and how investors react to it. It provides the expert guidance you need to develop a competitive edge, manage risk, and overcome our sometimes-flawed human nature. Learn how traders are using sentiment analysis and statistical tools to extract value from media data in order to: Foresee important price moves using an understanding of how investors process news. Make more profitable investment decisions by identifying when prices are trending, when trends are turning, and when sharp market moves are likely to reverse. Use media sentiment to improve value and momentum investing returns. Avoid the pitfalls of unique price patterns found in commodities, currencies, and during speculative bubbles Trading on Sentiment deepens your understanding of markets and supplies you with the tools and techniques to beat global markets— whether they’re going up, down, or sideways.

Market Microstructure in Practice

Author : Charles-Albert Lehalle,Sophie Laruelle
Publisher : World Scientific
Page : 332 pages
File Size : 48,8 Mb
Release : 2013-11-05
Category : Business & Economics
ISBN : 9789814566186

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Market Microstructure in Practice by Charles-Albert Lehalle,Sophie Laruelle Pdf

Market Microstructure in Practice comments on the consequences of Reg NMS and MiFID on market microstructure. It covers changes in market design, electronic trading, and investor and trader behaviors. The emergence of high frequency trading and critical events like the “Flash Crash” of 2010 are also analyzed in depth. Edited by Charles-Albert Lehalle and Sophie Laruelle, and with contributions from Romain Burgot, Stéphanie Pelin and Matthieu Lasnier, this book uses a quantitative viewpoint to help students, academics, regulators, policy makers, and practitioners understand how an attrition of liquidity and regulatory changes can impact the whole microstructure of financial markets. A mathematical Appendix details the quantitative tools and indicators used throughout the book, allowing the reader to go further on his own. Contents:Monitoring the Fragmentation at Any Scale:Fluctuations of Market Shares: A First GraphSmart Order Routing (SOR), A Structural Component of European Price Formation ProcessStill Looking for the Optimal Tick SizeCan We See in the Dark?Understanding the Stakes and the Roots of Fragmentation:From Intraday Market Share to Volume Curves: Some Stationarity IssuesDoes More Liquidity Guarantee a Better Market Share? A Little Story About the European Bid-Ask SpreadThe Agenda of High Frequency Traders: How Do They Extend Their Universe?The Link Between Fragmentation and Systemic RiskOptimal Organisations for Optimal Trading:Organising a Trading Structure to Answer to a Fragmented LandscapeMarket Impact Measurements: Understanding the Price Formation Process from the Viewpoint of One InvestorOptimal Trading Methods Readership: Students, academics, researchers, finance professionals, regulators and policy makers interested in public markets, exchange and securities. Keywords:Market Microstructure;Finance;Financial Markets;Regulation;MiFID;Reg NMS;ESMAKey Features:Interdisciplinary comments on market microstructure (covering economy, quantitative finance, and econophysics)Covers a very large spectrum of phenomenon: high frequency trading, liquidity monitoring, the Flash Crash, systemic risk, fragmentation, Smart Order Routing, trade scheduling and optimal tradingThe contributors are recognized by academia, regulators and practitionersReviews: “Lehalle and Laruelle bring [their] experience to bear on every aspect of the discussion, as well as deep quantitative understanding. The resulting book is a unique mixture of real market knowledge and theoretical explanation. There is nothing else out there like it, and this book will be a central resource for many different market participants.”Robert Almgren President and Cofounder of Quantitative Brokers, New York “Charles' and Sophie's book on markets microstructure will improve our knowledge and consequently help us to tweak these potentiometers. In promoting better education, this book is at the roots of restoring trust in the markets.” Philippe Guillot Executive Director, Markets Directorate Autorité des marchés financiers (AMF), Paris “This book provides a perspective on today's markets. It reviews institutional changes, discusses them, and provides color through real-world examples.” Albert J Menkveld Professor of Finance at VU University Amsterdam & Research Fellow at TI-Duisenberg School of Finance “Today, there is so much confusion on the actual functioning of capital markets, the impact of regulation, MiFiD in Europe and Reg NMS in the US, on market fragmentation and liquidity, the role of dark pools, of high-frequency traders in providing liquidity and bridging fragmented trading platforms. This book addresses all these demanding issues in a readable form. The authors are uniquely qualified, combining scholarly research backgrounds at the highest level of sophistication with extensive practical experience in designing best practice trading platforms. This book is a must-read for anyone with a serious interest in market microstructure.” Michel Crouhy Head of Research & Development at Natixis, Paris “Market Microstructure in Practice — the title of this book reflects perfectly the intentions of the authors. Many academics treat market structure as if they are watching a football game — from the outside, commenting each player's actions and the consequences … missing the key operational points and leaving to management the final step between concepts and reality. For once we have here a detailed analysis of what ‘market microstructure’ means in practice for a manager willing to understand the business impact of fragmentation. Through detailed definitions and clarifications of the different roles of participants in the markets (lit as well as dark), the authors help the reader to navigate the complexity of European financial markets. The authors also provide their views about optimal organizations for a true ‘Best Execution’. From an Exchange perspective, the book provides much useful information about the flip side of the coin; I mean here the fragmentation seen from the intermediaries' side. Usually managers of Exchanges and Trading venues view fragmentation ONLY as a threat and not as an issue faced by their customers, for whom they could provide solutions to make their markets efficient in the race for market share. In this respect, it is an invaluable tool for whoever is willing to embrace competition and see these tremendous changes in the landscape as an opportunity.” Roland Bellegarde Group Executive Vice President & Head of European Execution NYSE Euronext, Paris

Short-Selling with the O'Neil Disciples

Author : Gil Morales,Chris Kacher
Publisher : John Wiley & Sons
Page : 336 pages
File Size : 47,8 Mb
Release : 2015-04-13
Category : Business & Economics
ISBN : 9781118970980

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Short-Selling with the O'Neil Disciples by Gil Morales,Chris Kacher Pdf

Leave the old paradigm behind and start safeguarding your portfolio Short Selling with the O'Neil Disciples is a guide to optimizing investment performance by employing the unique strategies put forth by William O'Neil. The authors traded these strategies with real money, then refined them to reflect changing markets and conditions to arrive at a globally-relevant short-selling strategy that helps investors realize maximum profit. Readers will learn how short selling recognizes the life-cycle paradigm arising from an economic system that thrives on 'creative destruction,' and has been mischaracterized as an evil enterprise when it is simply a single component in smart investing and money management. This informative guide describes the crucial methods that preserve gains and offset declines in other stocks that make up a portfolio with more of an intermediate- to long-term investment horizon, and how to profit outright when markets begin to decline. Short-selling is the act of identifying a change of trend in a stock from up to down, and seeking to profit from that change by riding the stock to the downside by selling the stock while not actually owning it, with the idea of buying the stock back later at a lower price. This book describes the methods that make short-selling work in today's markets, with expert advice for optimal practice. Learn the six basic rues of short-selling Find opportunities on both the long and short sides of stocks Practice refined methods that make short-selling smarter Examine case studies that profitably embody these practices Investors able to climb out of the pessimistic, conspiratorial frame of mind that fixates on the negative will find that short selling can serve as a practical safeguard that will protect the rest of their portfolio. With clear guidance toward the techniques relevant in today's markets, Short Selling with the O'Neil Disciples is an essential read.