Commodity Futures Markets

Commodity Futures Markets

The commodity futures markets roared like never before

The futures market for commodities has been described as continuous auction markets. This is a clearinghouse of information on supply and demand. The futures market reflects the cash market.

The difference between the prices of futures and spot prices at any time is called the base. Compared to the stock market of the futures markets are unusually prone to false breakouts and trends have a change of Wilder, tempting traders to leave early or come late, possibly with a loss. Just take a look at commodity futures graphs, and compared with those stock market letters. The difference in the trade pattern will be evident.

Futures markets allow buyers and sellers to protect or cushion the impact of price changes. Buyers and sellers establish routes to minimize potential losses rise and fall prices on spot markets through these hedges in the futures market. The futures market is used to help determine the price for future deliveries. Used to purchase a contract today to guarantee a future shipment of commodities such as coffee and copper.

The commodity futures market attracts speculators due to the nature of the rapid changes in price levels and the large amount of leverage offered in the trades. A commodity speculator may be required to deposit only $ 5,000 to control $ 100,000 or more of a commodity. This influence increases the potential gains from trade, but as many Operators soon discovered also increases the risk of loss.

The futures market performs its function of price discovery more rapidly than the stock market. The futures market in the United States has deepened considerably since the 1990s. One of the ultimate causes great interest in the markets futures has been the movement of crude oil contracts. Huge fortunes were made and lost as crude oil rose from $ 10 a barrel to nearly $ 150 per barrel in just a few years.

In the longer futures prices also are responding more daily news of the oil market, suggesting that while market participants are more actively forming views on the prospects of supply and demand, the evaluation of the likely impact on future prices has become more uncertain. The futures market can take in billions of dollars in minutes, making the danger of a Stock Market Crash of instability. Many holders of common stock all you want, you can sell while an increase in oil prices continue for long time. No doubt money has moved from the stock market to commodity futures market during the period before oil prices and other commodities.

Prices are usually expressed in monetary terms. In a free market, prices are down as a result of the interaction of supply and demand in a market. When product demand increases and supply remains constant, the price tends to rise. When you drop in demand for a product and supply remains constant, the price tends to fall. Prices are an indication of the scarcity of goods and resources.

In the case of oil contracts that we have little idea of what the real price of oil should be Because of the massive government intervention and massive speculation, some of which helps keep the price artificially low and some of which drives the price. Recently, huge inflows of funds of hedge funds and oil prices, as have driven considerably higher as fears mount that indeed peak oil is not only real, but it is happening. Then you have strong demand pressures from China and India as their economies continue growing at 8% to 11% a year, year after year.

Negotiating the contract is made for a fixed price (commission) per contract, ranging from $ 25 and $ 100 per contract or less with Internet commerce (inside and out). Contracts are created by market demand for the commodity. The contracts are standardized according to the quantity, specification, location and date of delivery. Since not all commodities can be standardized futures contracts exist only for main.

Margins are determined on the basis of market risk and contract value. The margins are also known as performance bonuses. The margin accounts and a process called marking to market, but they all assure the solvency of the clearing house as a commodity trader receives a daily report on the status of commercial accounts and immediately have to finance the margin calls or liquidation of, its face.

Oil not really a story of dollars, but it is a story of supply and demand. Oil prices were boosted Friday, June 6th to record levels prices near $ 140 a barrel for the dollar, which declined sharply against the euro and the yen. The European Central Bank said it was unlikely to consider interest rate cuts to cool the strong euro against the dollar from falling. Oil at $ 135 to $ 140 a barrel, which is already causing a bit, but in Europe about 53% of the cost of the pump is imposed by the government. There is little weight in OPEC, where more than half the cost of fuel amounts to oppressive taxation.

Besides members of OPEC has more than anyone that oil is a depleting resource and that one day all that can be pumped from the earth at a cost reasonable will be gone forever. They're going to get as much money as they can during the time they can of their oil resources. If you have to have the oil we will have to pay.

Oil is not the only commodity that has been roaring ahead this year. Precious metals are in a major bull market, like corn, wheat, rice and soybeans. In fact, while the falling dollar is part of the Commodity Futures story bull markets we can not escape the fact that the rapid development of economy in a number of nations and changes in weather patterns caused by climate change are important factors in the momentum of the futures prices.

The futures markets for commodities are probably going at a good pace for some time. This is a market environment more interesting but also very dangerous, as nations compete for natural resources and increasingly scarce food supplies. Wars have been fought over issues much less important to have enough food to eat or enough energy to keep the economy functioning.

About the Author

"Taipan" Greene is a retired forex trader and portfolio manager who worked in Asia for over 20 years. The nickname was acquired in Hong Kong and is now used for a number of financial and Internet business related blogs. One of them is at Commodities Futures

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The stock market has always intrigued me. The dynamics of finding sound companies prime for growth and profiting from their successes has an overwhelming attraction to most investors. Commodities, a shrinking investment realm by comparison, has always given the appearance of an all or nothing, rags to riches, dreamland. The truth is, however, commodities is enriched by concrete concepts and leveraged opportunities while the stock market holds the dreams of the derivative ownership in a company made up of more unknowns to the average investor than one would care to acknowledge.My interest in commodities came about when I was introduced to leverage. Imagine being able to find a profitable strategy and then using the concept of leveraging your capital to create an exponential growth of profits. This is not merely a fantasy, but a reality found when properly investing in these markets. This book is designed to show you how to accomplish this ultimate goal by becoming a complete trader.What is a complete trader? A complete trader is one who maximizes their utilization of all of the tools and information available to them within a given market. This means combining the knowledge of technical tools and charting, gaining scope and perspective on the historical and present fundamentals of a market, and using proper trade designs to accomplish a risk managed and profit maximizing approach. Thus, using the tools and information available to minimize mistakes, control losses and maximize trade design to accomplish consistency in profitability. Every one of the secrets you are about to uncover in this book are about making you a complete trader. Anyone can make some simple technical forecasts,gain knowledge of the fundamental history of a market, and use futures or options to trade a market. But how many traders can make the analysis and decisions necessary to be a consistently profitable trader?While exact figures vary depending on who you ask, they say 90% of commodit

 Brokers, Bagmen, and Moles: Fraud and Corruption in the Chicago Futures Markets


Brokers, Bagmen, and Moles: Fraud and Corruption in the Chicago Futures Markets


$47.5


Describes the two year government undercover operation investigating corruption and illegal practices in the two Chicago commodity exchanges and culminating in the indictments of 46 industry professionals. Describes how these very complicated markets function and how their old-boy club'' style first created the problems and later shielded many of its members from investigation and prosecution. A true inside account, it explores rampant fraud and abuse in the futures markets.

 Commodities Rising: The Reality Behind the Hype and How to Really Profit in the Commodities Market


Commodities Rising: The Reality Behind the Hype and How to Really Profit in the Commodities Market


$27.95


Analyze the current commodity environment and look out over the next few years to identify potential profit situations in Commodities Rising. You'll learn how commodities can be used to reduce risk and increase returns in a balanced investment portfolio. Author and commodities expert Jeffrey Christian debunks much of the misinformation currently circulating about commodities and provides a reasoned reality-check you can use to evaluate the claims and promises of various publications and brokerages in the commodity field. Specific issues addressed throughout this book include: the variety of commodity investmentsexchange traded funds, stocks, futures, and options; commodities in the global economy; commodity trading/investing strategies. Filled with in-depth insights and engaging anecdotes gleaned from the authors 30 years in the commodity markets, this is an invaluable resource for the serious investor or trader.

 Commodity Trading Manual


Commodity Trading Manual


$214.14


The 1998 edition of the Commodity Trading Manual, the first and most accessible guide to the futures industry, continues to provide new industry professionals and potential end users with a comprehensive overview of the market. The CTM looks both at futures' past, from ancient Greece to old Chicago, and futures' future, with updated coverage of major industry trends -- the rise of new and international markets, OTC derivatives, and electronic trading. Chapters end with annotated bibliographies for more information.The CTM gives the inside look on day-to-day exchange operations and five cash market chapters provide a solid grasp of the market fundamentals. A glossary, a directory of major futures exchanges worldwide, and specifications for the most actively traded futures and options contracts are included.

 Contrary Opinion: Using Sentiment to Profit in the Futures Markets


Contrary Opinion: Using Sentiment to Profit in the Futures Markets


$70


Measure market sentiment and predict market trends. Contrary opinion is the opposite opinion of the sentiment held by the majority. If eighty percent of traders are bearish then a bullish view would be a contrary opinion. As developer of the Bullish Consensus, R. Earl Hadady has fine-tuned sentiment, measuring the opinion of a specific majority, to a calculable figure. Traders can now develop a winning trading plan around the Bullish Consensus and buy or sell as warranted by its numbers. Examines in-depth the workings of the futures markets and how market sentiment affects those markets.* Demonstrates that the trend of the market is actually a reflection of the trend of market sentiment Earl Hadady (Glendora, CA) is the author of the first edition of Contrary Opinion: How to Use it for Profit in Trading Commodity Futures. Mr. Hadady is a renowned expert in contrary opinion.

 Forex Wave Theory


Forex Wave Theory


$75


Discover a New Approach to Analyzing Price Fluctuations in the Foreign Exchange Market Forex Wave Theory provides spot currency speculators and commodity futures traders with an innovative new approach to analyzing price fluctuations in the foreign exchange. Written by Jim Bickford, a successful veteran online spot currency trader, this expert financial tool explains the four most significant categories within technical analysis_pattern recognition, econometric models, crossover trading systems, and wave theory_and includes critical definitions of technical terms. Forex Wave Theory examines in detail different length cycles of two through six waves, with special emphasis on their predictive reliability. The book also converts raw security data (OHLC quotes) to swing data through the application of a refined minimum reversal algorithm. Based on solid mathematical and statistical models, Forex Wave Theory is a highly visual resource that uses over 200 images to explore: Currency Markets_ Spot Currencies; Currency Futures Technical Analysis_ Pattern Recognition; Econometric Models; Crossover Trading Systems; Wave Theory Reversal Charts_Point & Figure Charts; Renko Charts; Swing Charts Brief History of Wave Theory_ Origin of Wave Theory; Gann Angles; Kondratiev Wave; Elliott Wave Theory; Gartley Patterns; Goodman Swing Count System Two-Wave Cycles_Two-Wave Cycle Properties; Enhancing the Forecast Three-Wave Cycles_Basic Three-Wave Cycle Types; Forecasting the Third Wave Four-Wave Cycles_Multi-Wave Cycle Names; Four-Wave Cycle Properties Five-Wave Cycles_Properties; Forecasting the Fifth Wave Six-Wave Cycles_Properties; Forecasting the Sixth Wave; Double-Wave ForecastingAdvanced Topics_Data Operations; Swing Operations This on-target reference also features instructive case studies of the author's unique method, together with a wide range of important supplemental information covering ISO currency pairs, exchange rates, global banking hours, basic th

 Global Investment Risk Management: Protecting International Portfolios Against Currency, Interest Rate, Equity, and Commodity Risk


Global Investment Risk Management: Protecting International Portfolios Against Currency, Interest Rate, Equity, and Commodity Risk


$160.62


Complex political, economic, and social factors amplify investment risk. Global Investment Risk Management provides managers with the tools to stay atop this complex and ever-changing field. Leading global experts discuss every aspect of managing cross-border interest rate, equity, currency, and commodity risk, from regulatory issues to use of derivatives like futures, options, and swaps. Special attention is paid to derivatives risk control and emerging markets investment.

 International Commodity Trading


International Commodity Trading


$79.95


In addition to discussing financial and commodity futures and options, this book links them to the physical economy at large, a linkage which is particularly important when one is thinking of physical commodity markets. The book looks at not only the futures of derivative markets, but it also explores the physical markets and the underlying economy.Written by leading authors in the field of commodity marketsContains numerous up-to-date examples, case studies, and scenarios to assist in gaining an overall understandingCovers all aspects of commodity trading, including the inter-relationship between the different functions

 Managed Futures in the Institutional Portfolio


Managed Futures in the Institutional Portfolio


$75


Futures markets can no longer be considered a high-risk alternative, only suited to the most aggressive investors. The $500 million under management in private and public managed futures funds in 1980 has grown quietly but exponentially to $20 billion today, with major pension funds, banks, and corporate players heavily committed. But, if you wanted to follow their trail you'd have to pick up what information you could find in newsletters, articles, and actual-risky-trading experience. Until now. In this book, Charles Epstein has set up a unique managed futures brain trust especially for those who want the complete picture of this hot new asset class. These experts provide both a broad theoretical basis and a full spectrum of practical applications to help you bring a managed futures account into your institutional portfolio to add diversification, decrease volatility, hedge against inflation and risk, and provide incremental return. You'll find complete analysis of the key theoretical aspects of managed futures, including their role as an alternative asset class, the new investment strategies they make possible, and a risk-return study using a multi-manager commodity portfolio. You'll also find detailed discussions of the practice of managed futures account investing and trading, from evaluating traders...organizing a commodity pool...avoiding ERISA problems...tax and accounting considerations...unleveraged futures as inflation hedges...to an eye-opening risk-return comparison of stocks. With some trading advisors already overseeing $500 million managed futures accounts, and with one manager posting a 75% compounded annual rate of return, Managed Futures in the Institutional Portfoliocould prove to be quite an asset to your portfolio.

 New Trading Dimensions


New Trading Dimensions


$90


A powerful new way to navigate today's unprecedented market conditions Bill Williams' pioneering application of chaos theory to the financial markets is leading technical analysis into the twenty-first century and beyond. New Trading Dimensions presents a complete, highly original, and intriguing trading method with clear, detailed illustrations, and challenging practice pages. Bill's wisdom, technical expertise, and skillful teaching style make this a revolutionary must-have new book for stock and commodity traders. Tom Bierovic, Product Manager for User Education, Omega Research, Inc. Bill hits the nail on the head. The essence of successful trading is a combination of knowing who you are and allowing the market to reveal its secrets. Bill Williams has the gift of explaining these concepts better than anyone I know. This is a compelling work that belongs in every trader's library. George Angell, author, Profitable Day-Trading with Precision Bill Williams is one of the great educators of our time. He freely shares his knowledge and experience in this inexpensive book. This book is required reading for all market technicians. The principles are sound as we have tested them with our software. John Hill, President, Futures Truth, Co. Bill Williams has always been an excellent teacher, taking complex terms and concepts and translating them into a clear, commonsense approach to trading. This book provides a complete trading program that reflects Bill's years of wisdom and experience in the marketplace. Darrell Jobman, Editorial Consultant and former Editor-in-Chief of Futures magazine Bill uses the hidden structure of chaos theory toskillfully guide the reader to the correct psychological profile for success in trading. Bill then goes on to provide a comprehensive structure, a trading paradigm, directly derived from his research and considerable trading experience. You will be challenged, interested, and have a mind-ope

 Option Market Making: Trading and Risk Analysis for the Financial and Commodity Option Markets


Option Market Making: Trading and Risk Analysis for the Financial and Commodity Option Markets


$100


Every day, market makers account for half a billion dollars in the option trade, bringing liquidity and stability to the commodity, bond, currency, stock, and futures options markets by being ready to buy or sell some quantity of any option at a specified price. The width of the bid/asked price spread determines the market maker's profit. But, if it's just buy-low sell-high what's the big mystery? Controlling option risk. Option risk is more complex and comes in more varieties than most other investment risks. That's why traders, speculators, hedgers, scalpers, and market makers everywhere will draw considerable understanding and profit from this first book length guide to market making. Inside you'll find valuable information and tips on the economics of market making and the basics and terminology of options, covering fair value models, volatility, and differences between option markets; option risk, risk measurement, and the range of risk profiles possible in single one-month trades with definitions, analytical tools, and strategies; synthetic price relations and how to master this almost risk-free core of option arbitrage trading; calendar spread risk and strategies for limiting it and still using time markets efficiently; delta-neutral and limited risk strategies for nonsynthetic market making, including the butterfly/ratio time spreads; and option market maker software listings and information. Provides an insider's insights on the complexities of the option market maker's world. In this increasingly competitive arena, Option Market Making gives you the tools you need to beat the odds - and make the trade.

 Option Market Making: Trading and Risk Analysis for the Financial and Commodity Option Markets by Allen Jan Baird, ISBN 0471578320


Option Market Making: Trading and Risk Analysis for the Financial and Commodity Option Markets by Allen Jan Baird, ISBN 0471578320


$61.5


Every day, market makers account for half a billion dollars in the option trade, bringing liquidity and stability to the commodity, bond, currency, stock, and futures options markets by being ready to buy or sell some quantity of any option at a specified price. The width of the bid/asked price spread determines the market maker's profit. But, if it's just buy-low sell-high what's the big mystery? Controlling option risk. Option risk is more complex and comes in more varieties than most other investment risks. That's why traders, speculators, hedgers, scalpers, and market makers everywhere will draw considerable understanding and profit from this first book length guide to market making. Inside you'll find valuable information and tips on the economics of market making and the basics and terminology of options, covering fair value models, volatility, and differences between option markets; option risk, risk measurement, and the range of risk profiles possible in single one-month trades with definitions, analytical tools, and strategies; synthetic price relations and how to master this almost risk-free core of option arbitrage trading; calendar spread risk and strategies for limiting it and still using time markets efficiently; delta-neutral and limited risk strategies for nonsynthetic market making, including the butterfly/ratio time spreads; and option market maker software listings and information. Provides an insider's insights on the complexities of the option market maker's world. In this increasingly competitive arena, Option Market Making gives you the tools you need to beat the odds - and make the trade.

 Options, Futures, and Other Derivatives


Options, Futures, and Other Derivatives


$233.33


Bridge the gap between theory and practice. Designed to bridge the gap between theory and practice, this introductory text on the futures and options markets is ideal for those with a limited background in mathematics. The eighth edition has been updated and improved--featuring a new chapter on securitization and the credit crisis, and increased discussion on the way commodity prices are modeled and commodity derivatives valued.

 Seasonality: Systems, Strategies, and Signals


Seasonality: Systems, Strategies, and Signals


$80


a groundbreaking look at trading the markets with one of the most important forecasting tools available . . . If you've ever wondered about the validity of seasonals or how to trade them, buy this book now! Glen Larson, Genesis Data Services Jake does it again. This time his extensive research really leaps out as he makes seasonal trading easy to understand and a very useful tool for any commodity trader. Jeffrey H. Fox, Fox Investments. Is there a holy grail of price prediction? Traders have long been in pursuit of one, and while a handful of strategies, techniques, and methodologies have proven noteworthy, the search continues for the ultimate forecasting instrument if one does indeed exist. The theory and methods of seasonality may well prove to be a step in the right direction to this goal. In this unique new book, a leading seasonal trading analyst examines seasonality in-depth, elucidating the concise principles, numerous advantages, and enormous potential that make it one of the most important and effective methods currently available for targeting futures price trends. Over the years, considerable attention has been paid to the effects of interest rates, money supply, earnings, inflation, and other key factors on stock and commodity prices. Yet, the immense impact of seasonal price tendencies has been either grossly underestimated or completely ignored. Often overlooked, but equally significant, seasonality is based on the assumption that seasonal influences cause biases in the movement of market prices. Among its many advantages, seasonality allows the trader to formulate objective decisions founded on a logical, verifiable, and operational methodology, creating a backdrop of probable market trends in most time frames and in most markets, and providing historically valid input for use as an adjunct to other analytical methods and timing indicators. The essence of seasonality is found in its lengthy h

 The CRB Commodity Yearbook


The CRB Commodity Yearbook


$75.67


The single most comprehensive source of commodity and futures market information available Since 1939, professional traders, commercial hedgers, portfolio managers, and speculators have come to regard The CRB Commodity Yearbook as the bible of the industry. Here is a wealth of authoritative data, gathered from government reports, private industry, and trade and industry associations, all compiled by the Commodity Research Bureau, the organization of record for the entire commodity industry itself. Absolutely essential for identifying changing trends in supply and demand and for projecting important price movements, the Yearbook gives the investor: Worldwide supply/demand and production/consumption data for all the basic commodities and futures markets from A(luminum) to Z(inc), including all the major markets in interest rates, currencies, energy, and stock index futures Over 900 tables, graphs, and price charts of historical data, many of which show price history dating back to 1900 Concise introductory articles that describe the salient features of each commodity and help put the quantitative information in perspective Articles by prominent professionals on key markets and important issues concerning the commodity industry. The 2003 Yearbook features articles by prominent professionals, including Understanding and Analyzing the Sugar Market by Walter Spilka and Conquer the Crash: You Can Survive and Prosper in a Deflationary Depression by national bestselling author, Robert R. Prechter Jr. For anyone dealing in commodities, The CRB Commodity Yearbook 2003 offers an abundance ofvaluable information and indispensable guidance for decision-making.

 The CRB Encyclopedia of Commodity and Financial Prices [With CDROM]


The CRB Encyclopedia of Commodity and Financial Prices [With CDROM]


$200


We are familiar with the information provided in the annual CRB Yearbook which gives readers data on fundamentals with tables on production data for each particular commodity discussed. The Encyclopedia differs from that format by providing readers with a definitive reference including multiple price charts (10- and 20-year, etc.) for each commodity discussed (including all agriculturals and financials) with commentary on why the prices fluctuate over time. The Encyclopedia provides a comprehensive and in-depth record of the market activity of futures plus the international markets. This is a must-have for the user who needs all their price chart material in one, quick and easy-to-use reference text.

 The Encyclopedia of Commodity And Financial Spreads


The Encyclopedia of Commodity And Financial Spreads


$95


A well-researched guide to the most profitable spreads in the futures market The Encyclopedia of Commodity and Financial Spreads is divided by product category-energy, natural gas, meats, soybeans, corn/wheat, currencies, interest rates, and metals. The precise performance of each spread is identified-over the previous 20 years-and combined with a graph that displays visually the price performance of the spread. For each of the 175 trades identified, there is an explanation of the trade, its history, and advice on how traders should approach the trade. Steve W. Moore (Eugene, OR) has been trading and researching the futures markets for more than 25 years. He formed Moore Research in 1990 to provide traders with historical research and seasonal analysis to better trade the commodity markets. Jerry Toepke (Eugene, Oregon) is Editor of Moore Research Center, Inc. Nick Colley (Eugene, Oregon) is Research Director of Moore Research Center, Inc.

 The New Commodity Trading Guide


The New Commodity Trading Guide


$34.99


While providing traders with strategies for today''s electronic, global commodity markets, commodities expert Kleinman uncovers new trading techniques and new approaches designed for today''s faster-moving futures markets. In this work, he reveals the new practical realities and specific strategies for capitalizing on today''s radically different markets.

 The Wiley Trading Guide


The Wiley Trading Guide


$65


Some of the most successful traders in the U.S., Australia, and Asia share their secrets with youFollowing on the heels of the bestselling Volume I, The Wiley Trading Guide, Volume II brings together an elite selection of writings from many of the most successful traders in the world today. These market aces share their secrets on everything from arbitrage to precious metals trading, options and commodity futures to technical analysis. Featuring completely new material from each contributor, this book offers intermediate to experienced traders a veritable gold mine of indispensable information on how to make a killing in the financial markets in the wake of the global financial crisis. Hot topics covered include automated forex trading, why silver will leave gold in the dust, technical analysis of the energy and commodity futures markets, and market conscious tradingNew writings by trading luminaries based in the U.S., Australia and Asia, including Roger Kinsky, Colin Nicholson, Jeff Cartridge, Ashley Jessen, Ramon Barros, Jacob Bernstein, Chris Kacher, Gil Morales, and Kathy Lien

 Timing Techniques for Commodity Futures Markets: Effective Strategy and Tactics for Short-Term and Long-Term Traders


Timing Techniques for Commodity Futures Markets: Effective Strategy and Tactics for Short-Term and Long-Term Traders


$65


Written by legendary trader Colin Alexander, Timing Techniques for Commodity Futures Markets arms you with both traditional and newly proven tools for generating market-beating profits. Covering all major currently traded commodities, this comprehensive guide presents key tactics for finding markets with the potential for extended moves, featuring new, valuable work on indicators not published elsewhere.

 Winner Take All


Winner Take All


$15.16


The futures industry is unique, entertaining and, for far too many people, ultimately heartbreaking. What other industry possesses such an entertaining cast of soothsayers, self-proclaimed experts and charlatans? Where else do people become fabulously wealthy simply by acting on their own convictions? And where else does the possibility of failure loom so large and so constant? No other book captures the essence of the futures industry better than Winner Take All. With a penetrating intelligence and a sharp wit, Bill Gallacher dissects many of the industry's leading lights, exposing the frauds, deflating the pompous and poking fun at the seers who believe they can predict the future. Along the way, he demonstrates why most traders lose and, most importantly, what it takes to win. Winner Take All is a book for all traders. For those who believe in easy-money trading systems, it is a sobering antidote. For those who think the markets can't be beaten, it is a work of great inspiration. And for those who are trading profitably, it is an affirmation of the trading success principles. Winner Take All is a wise and profound book. But it is also perhaps the wittiest book on trading ever written. Read Mr. Gallacher on Fibonacci numbers: Surely the medieval mathematician would be astounded at his impact on the twentieth-century commodity man. His mathematical series was constructed from observations on the incestuous copulation patterns of rabbits. Let's see, you start with a male and a female, then you take the first female offspring and you...well, better not get into it . Mr. Gallacher, a successful private trader, questions all conventional wisdom. He exposes the false premises that underliemuch of technical analysis, and he demonstrates why mechanical trading approaches - while sometimes producing marginal profits - can never provide truly superior results. Although out-of-favor in today's computer age, Mr. Gallacher shows why fundamental analysis, if conducted with ins

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