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Advantage Investment Strategy Take That
 Genetic Algorithms and Investment Strategies by Richard J. Bauer, More and more traders now rely on genetic algorithms, neural networks, chaos theory, and other computerized decision-making approaches to help them develop winning investment strategies. They recognize that the battle in today's financial markets is increasingly being waged at computer speed, not human speed, and that anyone who fails to exploit these new tools may be headed for extinction. Written by the coauthor of the first published paper to link genetic algorithms and the world of finance, Richard Bauer's Genetic Algorithms and Investment Strategies is, likewise, the first book to demonstrate the value of GAs as tools in the search for effective trading ideas. Recognizing the continued resistance of many traders and analysts to GAs, it shows how these approaches do not herald an age in which people will be supplanted by machines, revealing instead how they serve only to augment human thinking. In clear, nontechnical language, Genetic Algorithms and Investment Strategies describes the biological bases of GAs, neural nets, and chaos theory...their historical development...the current state of the methodology for each...and their uses, advantages, and limitations as decision-making tools in the world of finance, ultimately demonstrating the superiority of GAs over the other two methods, particularly in handling critical optimization problems. It then focuses exclusively on GAs, presenting simple problems to illustrate the basic steps involved in using a GA and describing - with the help of numerous tables and diagrams - how the GA mimics nature's ruthlessly efficient evolutionary process and moves quickly and inexorably toward a near-optimal solution. Complete with a summary ofavailable software programs, an extensive glossary of GA terms, and a bibliography covering GAs, neural nets chaos theory, and market timing, Genetic Algorithms and Investment Strategies doesn't offer a results-oriented, get-rich-quick scheme.
 Global Investment Risk Management: Protecting International Portfolios Against Currency, Interest Rate, Equity, and Commodity Risk by Ezra Zask, Proven Strategies for Hedging International Investment Risk--From Today's Most Respected Global Investment Professionals. Non-U.S. equities represent two-thirds of the world's market capitalization. The meaning for professional money managers and traders is clear: As investors demand higher investment returns and diversification, overseas investment is not just a luxury--it is a necessity. Global Investment Risk Management outlines hands-on strategies, policies, and procedures that will help you take advantage of the returns available in overseas markets, while keeping closer track of the risks--not only those risks you can see but those you cannot. Every aspect of global investment risk--from portfolio diversification requirements to unique regulatory issues--is discussed in chapters written by today's leading international investment authorities, including: Roger Gibson on Asset Allocation and the Rewards of Multi-Class Investing; Richard Vogel on Eastern European Risk Management; Lee Thomas on Reducing Risk Using Global Bond Diversification; Ray Dalio on Hedging Currency Risk; Christopher Culp, Ron Mensink, and Andrea M. P. Neves on Value at Risk. Global Investment Risk Management eschews vague theoretical observations to provide specific, hands-on advice, written by frontline professionals who prove themselves daily in the international investment battleground. It will open your eyes to the world of investment opportunities outside U.S. borders--even as it helps you sidestep the perils.
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