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  • ISBN:9787302630395
  • 装帧:70g胶版纸
  • 册数:暂无
  • 重量:暂无
  • 开本:26cm
  • 页数:208页
  • 出版时间:2023-05-01
  • 条形码:9787302630395 ; 978-7-302-63039-5

本书特色

不同于一般证券技术分析教材,本书侧重于帮助读者建立适合自己的交易策略,本书可以作为金融工程等专业的本科生、硕士生和工商管理硕士(MBA)的证券交易分析教材,也可以作为投资者提升投资决策能力,建立自己交易策略的参考书籍。 不同于一般证券技术分析教材,本教材侧重于帮助读者建立适合自己的交易策略,无论是短线、中线、还是长线策略,这样可以避免投资过程中的各种担忧。 不同于一般证券技术分析教材,本教材侧重于帮助读者建立适合自己的交易策略,无论是短线、中线、还是长线策略,这样可以避免投资过程中的各种担忧。

内容简介

本书共十一章, 包括科学与股市、股市中的逻辑、成交量分析、均线分析、筹码分析、分时图分析、股票价值与价格分析、证券研究报告分析、投资者情绪分析、构建投资组合、收益与风险。

目录

目 录 **章 科学与股市 ··················································· 1 **节 中国证券市场的特点 ································································· 4 第二节 科学与股市 ············································································· 9 第三节 交易策略 ·············································································· 12 模拟实验与思考 ················································································· 16 第二章 股市中的逻辑 ················································ 17 **节 宏观分析的逻辑 ····································································· 17 第二节 行业分析的逻辑 ····································································· 20 第三节 技术分析的逻辑 ····································································· 25 第四节 情绪与行为分析的逻辑 ···························································· 27 第五节 自选股管理 ··········································································· 31 模拟实验与思考 ················································································· 34 第三章 成交量分析 ·················································· 35 **节 成交量基本知识 ····································································· 35 第二节 如何根据成交量进行操作 ························································· 41 模拟实验与思考 ················································································· 47 第四章 均线分析 ····················································· 48 **节 移动均线与成本均线 ······························································· 48 第二节 常用的均线技巧 ····································································· 51 第三节 一阳三线战法 ········································································ 58 模拟实验与思考 ················································································· 61 第五章 筹码分析 ····················································· 62 **节 筹码的由来 ··········································································· 62 第二节 流动筹码与非流动筹码 ···························································· 63 第三节 筹码图 ················································································· 64 66 79 ............................. .81 .... .............. 82 .......84 .. 85 .......96 ........................ .97 .... ..............97 ...... ............. ............. ..............99 ...103 ..106 .... .............122 .... 123 ......123 ..... ..126 ......140 .... 141 ...142.....145......152.................160 161 163168.......182......184" .. 189 ........190 _x00E_ 192 ..196 - .............199 ........201 ........204 205
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作者简介

周晓光,经济管理学院金融工程系教授,博士,博士生导师。主要研究方向为投资决策与风险分析、投资组合与优化、行为金融、物流与供应链管理、管理过程优化。近10年在国内外高水平学术期刊公开发表论文80余篇,其中多篇被SCI、SSCI期刊收录,出版教材、专著8部,主持及参与国家级课题和其他科研项目10余项,担任国内《控制与决策》、《运筹与管理》、《系统工程理论与实践》和国际《Transactions on Fuzzy Systems》、《Journal of Environmental Planning and Management》、《Emerging Markets Finance and Trade》、《Environmental Science and Pollution Research》等期刊审稿人。目前担任北京市运筹学会理事,湖南艾尼科技有限公司等高级顾问。

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