NUMBERS BEFORE CONVICTION - The Practitioner's Companion: Frameworks for Indian Stocks, Funds, ETFs, Derivatives, and Global Markets

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Bol After working for close to thirty years at one of India's largest steelmakers, Tata Steel, Rameshwar Singh retired in 2021 to do what he'd quietly been doing all along: hand-picking his own investments in the Indian market. His first book, Numbers Before Conviction, gave readers the framework. This companion hands them the machine room.Inside are the six business archetypes that decode any income statement in minutes, and the hundred-point scoring engine that turns instinct into evidence - pulled straight from the author's own working slides. Then it goes further than any single book on Indian investing has: a full scoring model for mutual funds and ETFs, a four-pillar architecture spanning fixed income, commodities, and global markets, a systematic, entirely mechanical entry-and-exit system for the technical setups the original book only introduced, a structural walkthrough of a real, defined-risk options position, and nine actual market shocks dissected with the same unsentimental discipline.Every page is visual first - charts, scorecards, and decision trees in place of paragraphs to wade through. For readers who finished the first book wanting the tools, not just the theory, this is where it was waiting.Rameshwar Singh is not a SEBI-registered investment adviser, research analyst, or portfolio manager - a fact he states here as plainly as he did the first time.

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After working for close to thirty years at one of India's largest steelmakers, Tata Steel, Rameshwar Singh retired in 2021 to do what he'd quietly been doing all along: hand-picking his own investments in the Indian market. His first book, Numbers Before Conviction, gave readers the framework. This companion hands them the machine room.Inside are the six business archetypes that decode any income statement in minutes, and the hundred-point scoring engine that turns instinct into evidence - pulled straight from the author's own working slides. Then it goes further than any single book on Indian investing has: a full scoring model for mutual funds and ETFs, a four-pillar architecture spanning fixed income, commodities, and global markets, a systematic, entirely mechanical entry-and-exit system for the technical setups the original book only introduced, a structural walkthrough of a real, defined-risk options position, and nine actual market shocks dissected with the same unsentimental discipline.Every page is visual first - charts, scorecards, and decision trees in place of paragraphs to wade through. For readers who finished the first book wanting the tools, not just the theory, this is where it was waiting.Rameshwar Singh is not a SEBI-registered investment adviser, research analyst, or portfolio manager - a fact he states here as plainly as he did the first time.


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