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Technical Analysis of the Financial markets

Technical Analysis of the Financial markets

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About the Author

John J. Murphy is a former technical analyst for CNBC and director of Merrill Lynch's Technical Analysis Futures Division. He is the author of The Visual Investor and Intermarket Technical Analysis.

Product details

  • Publisher ‏ : ‎ Prentice Hall Press (TR) (1 October 2020); Penguin Random House
  • Language ‏ : ‎ English
  • Hardcover ‏ : ‎ 576 pages
  • ISBN-10 ‏ : ‎ 059333244X
  • ISBN-13 ‏ : ‎ 978-0593332443
  • Item Weight ‏ : ‎ 130 g
  • Dimensions ‏ : ‎ 1.11 x 12.9 x 19.7 cm
  • Net Quantity ‏ : ‎ 980 Grams
  • Importer ‏ : ‎ Penguin Random House
  • Packer ‏ : ‎ Penguin Random House
  • Generic Name ‏ : ‎ Books

John J. Murphy is a former technical analyst for CNBC and has over forty years of market experience. He is the face of StockCharts.com, which provides financial information to online investors via technical analysis tools. Murphy has appeared on Bloomberg TV, CNN's Moneyline, Nightly Business Report, and Wall $treet Week with Louis Rukeyser. In 1992, he was given the first award for outstanding contribution to global technical analysis by the International Federation of Technical Analysts, and was the recipient of the 2002 Market Technicians Association Annual Award. In addition to the First Edition of The Visual Investor, he is also author of Intermarket Technical Analysis and Intermarket Analysis, all of which are published by Wiley. He also authored Technical Analysis of the Financial Markets. Murphy has a bachelor of arts in economics and a master of business administration from Fordham University.

Beginner -Table of Contents

Section 1: Getting Started with the Indian Stock Market

Chapter 1: Introduction

Chapter 2: Key Data Points and Metrics

Chapter 3: Understanding Market Fundamentals

Section 2: Advanced Insights and Strategies

Chapter 4: Sector-Wise Insights

Chapter 5: Market Trends and Patterns

Chapter 6: Data Sources and Tools

Chapter 7: Case Studies and Analysis

Section 3: Practical Applications and Resources

Chapter 8: Expert Opinions and Analysis

Chapter 9: Historical Insights and Lessons

Chapter 10: Charts and Visuals

Section 4: Supporting Insights and Wrap-Up

Chapter 11: Risk Factors and Considerations

Chapter 12: Practical Tools and Applications

Chapter 13: Glossary and References

Chapter 14: Appendix

Intermediate -Table of Contents

Section 1: Deep Dive into Market Structures

Chapter 1: Understanding Market Mechanisms and Participants

Chapter 2: Regulatory Framework and Compliance in India

Chapter 3: Role of Institutional Investors (FIIs, DIIs)

Section 2: Financial Analysis and Valuation Techniques

Chapter 4: Fundamental Analysis – Advanced Metrics and Techniques

Chapter 5: Technical Analysis – Chart Patterns and Indicators

Chapter 6: Corporate Financial Statements Deep Dive

Chapter 7: Valuation Models – DCF, P/E Ratios, and Relative Valuation

Section 3: Investment Strategies and Portfolio Management

Chapter 8: Value vs. Growth Investing – Case Studies

Chapter 9: Diversification and Risk Mitigation Techniques

Chapter 10: Asset Allocation Models for Indian Markets

Chapter 11: Sector Rotation Strategy with Real Examples

Chapter 11: Sector Rotation Strategy with Real Examples

Section 4: Practical Insights and Market Dynamics

Chapter 12: Interpreting Market Trends Using Data Analysis

Chapter 13: Psychological Aspects of Trading and Investment

Chapter 14: Historical Market Events and Lessons for Investors

Chapter 15: Building a Long-Term Investment Plan

Advanced -Table of Contents

Section 1: Advanced Financial Instruments and Derivatives

Chapter 1: Options Trading Strategies with Indian Case Studies

Chapter 2: Futures Contracts and Hedging Techniques

Chapter 3: Commodity and Currency Markets Overview

Chapter 4: Algorithmic Trading and Automation in India

Section 2: Strategic Investment Models

Chapter 5: Quantitative Analysis and Data-Driven Strategies

Chapter 6: Building and Backtesting Investment Models

Chapter 7: Advanced Risk Assessment and Management

Section 3: Global Markets and Impact on India

Chapter 8: Correlation Between Global Events and Indian Markets

Chapter 9: Analyzing Foreign Exchange Risks and Opportunities

Chapter 10: Cross-Border Investments: Opportunities and Challenges

Section 4: Regulatory Landscape and Market Ethics

Chapter 11: Navigating SEBI Regulations for Advanced Traders

Chapter 12: Ethical Trading Practices and Corporate Governance

Section 5: Real-World Case Studies and Expert Insights

Chapter 13: Analysis of Market Crashes and Recoveries in India

Chapter 14: Case Studies on Successful Long-Term Investments

Chapter 15: Interviews and Insights from Leading Market Experts

Section 6: Emerging Trends and Future of Stock Trading

Chapter 16: The Role of AI and Big Data in Trading

Chapter 17: ESG Investing and Its Impact in India

Chapter 18: Cryptocurrency and Blockchain's Influence on Financial Markets

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