TY - BOOK AU - Gregoriou,Greg N. TI - The handbook of trading: strategies for navigating and profiting from currency, bond, and stock markets T2 - [McGraw-Hill finance & investing] SN - 9780071743532 U1 - 332.64 22 ed. PY - 2010/// CY - New York PB - McGraw Hill Professional KW - Investment Analysis KW - Speculation N1 - Series statement from jacket; Includes bibliographical references, index, etc; Pte. 1. Execution and momentun trading -- Cap. 1. Performance leakage and value -- 2. Informed trading in parallel auction and dealer markets: the case of the London stock exchange -- 3. Momentum trading for the private investor -- 4. Trading in turbulent markets: does momentum work ? -- 5. The financial futures momentum -- 6. Order placement strategies in different market structures: a primer -- Pte. 2. Technical trading -- Cap. 7. Profitability of technical trading rules in an emerging market -- 8. Testing technical trading rules as portfolio selection strategies -- 9. Do technical trading rules increase the probability of winning ? empirical evidence from the foreign exchange market -- 10. Technical analysis in turbulent financial markets: does nonlinearity assist ? -- 11. Profiting from the dual-moving average crossover with exponential smoothing -- 12. Shareholder demands and the delaware derivative action -- Pte. 3. Exchange-trade fund strategies -- Cap. 13. Leveraged exchange-trade funds and their trading strategies -- 14. On the impact of exchange-traded funds over noise trading: evidence from european stock exchanges -- 15. Penetrating fixed-income exchange-traded funds -- 16. Smooth transition autoregressive models for for the day-of-the-week effect: an application to the S&P 500 index -- Pte. 4. Foreign exchange markets. Algorithmic trading and risk -- Cap. 17. Disparity of usd interbank interst rates in Hong Kong and Singapore: is there any arbitrage opportunity ? -- 18. Forex trading opportunities through prices under climate change -- 19. The impact of algorithmic trading models on the stock market -- 20. Trading in risk dimensions -- 21. Development of a risk-monitoring tool dedicated to commodity trading -- Pte. 5. Trading volume and behavior -- Cap. 22. Securities trading, asymmetric information, and market transparency -- 23. Arbitrage risk and the high-volume return premium ER -