Ultimate Book on Stock Market Timing (Bundled All Volume 1 to 5) by Raymond Merriman
Bundled Offer – Price INR 1275
For details on each Volume :
These are the kind of questions often asked of market analysts, and market timers. These are also the kind of questions that are addressed in the classic book on cycle studies, written by Raymond Merriman. Originally written in 1997, with a second edition in 2005, this classic is now updated and re-written for the first time in 12 years.
This is a very special book in the field of market timing. No other book has researched and identified as many reliable and accurate cycles in stock indices as this. That is why it is a classic – a valuable reference book that will be used many times over for many year into the future.
Several stock market cycles have unfolded since the second edition of this book was released in 2005, including a new 72-year cycle and all of its phases. This new edition updates all the long-term (4-year or greater), intermediate-term (50-week to 4-year), and shorter-term cycles (primary and its phases) in the Dow Jones Industrial Average, S&P futures, and Japanese Nikkei. From these charts (some going back to the 1690’s), all cycles are labeled and then analyzed structurally to identify their 80+% periodicity ranges. The daily and weekly charts are then analyzed for bottoming and peaking correlations to six key technical indicators and chart patterns. The various phases of cycles are examined for bullish and bearish trends and triggers, providing the means to forecast – and then confirm – optimal time bands for future cycle troughs and crests. The studies performed in this book are original, insightful, and valuable to both traders and investors looking for that extra “edge” in deciding when to buy or sell.
Stock Market Timing,Volume 2 analyzes and gives weighted values (scores) to each long-term planetary cycle, its phases (aspects), and their correlation to 50-week or greater cycles in the U.S. stock market — going all the way back to the beginning in 1789! Which planetary cycles correlate with the 18-year and greater stock market cycles (and hence trends)? Which correlate more with the four-year cycles? Which correlate with long-term cycle crests, and which to long-term cycle troughs? And what is the correlation to the three long-term Saturn Planetary pair cycles that just started June 25, 1998 and last through May, 2000?
This book not only shows the historical correspondence of long-term planetary cycles to long-term cycles in the U.S. Stock Market, but also provides an excellent model for investing based upon this knowledge. It combines the market timing techniques of cycles, as explained in Volume 1, with the market timing correlations of geocosmic time bands, to produce a very accurate method of narrowing the probable time band for long-term cycle tops and bottoms in the U.S. Stock Market. An effective investment plan is then described for entering the stock market, to increase one’s probability of capturing at least two-thirds of the bull-market move, once the timing criteria are satisfied, in each 4-year cycle.
This is a book that is not only an illuminating read, but one which offers an excellent plan to enhance one’s probability of being a successful stock market investor.
Volume 3: This is the most comprehensive reference book to date on the relationship of geocosmic signatures to reversals in the U.S. stock indices. It is written specifically for traders or analysts of U.S. stocks and stock indices who wish to enhance their ability to identify critical reversal zones far in advance. With this book, the reader will discover which are most powerful and consistent geocosmic signatures to primary or greater cycles in the U.S. stock market. There is nothing like this book available today. The results are truly remarkable, and will change the way you look at financial markets. This is a book that traders and market timers will refer to for many, many years. It is well written, understandable, and easily applicable.
Volume 4 of this 5-volume series on The Ultimate Book on Stock Market Timing is the most comprehensive analysis yet of all the Sun-Moon combinations and their correspondence to price movements in stock indices available today. It examines 60 years of daily data on the Dow Jones Industrial Averages, and the past 16-18 years of daily data on the NASDAQ Composite and Japanese Nikkei stock indices. The probability of 4% or greater reversals is assigned to each Sun-Moon combination, which are usually in effect 1-2 (sometimes 3) trading days per year. In all, there are approximately 30 of these 1-2 day periods that stand out as high probability trade dates each year, in each index. Thus when a Sun-Moon combination with a high correlation to 4% or greater price swings is in effect, a trader knows that this 1-2 day period offers a high probability for an isolated low or high to form, from which the market will reverse a substantial amount in a very short time. This is the ideal situation for short-term traders: high profit probability with a minimal amount of time exposure (risk) in the market.
This book also identifies which Sun-Moon combinations have a much lower than expected correlation to short-term trading reversals, thereby allowing traders the comfort of not feeling pressured to exit (or enter) on certain dates. In addition, each Sun-Mercury and Sun-Venus sign combinations are examined for high and low probability reversal zones, and used along with Sun-Moon combinations to determine the most and least volatile times for trading stock indices. If you are a short-term trader of stock exchange futures, options, or the stock exchange traded indices on the AMEX, like the DIA, SPY, or QQQ, this is a book that can provide an extremely valuable market timing advantage. This is the “edge” that traders seek.
This is the long-awaited last volume of this 5-volume series on The Ultimate Book on Stock Market Timing. The first volume was released in 1997, and all four of the prior volumes focused on market timing: WHEN to buy or sell the stock market. This book now provides the final part, the missing link: WHERE – at what PRICE – to buy and sell.
This book delves into the 300+ year charts of the US and British stock markets to examine the percentages of gains and declines in long-term cycles. It shows the importance of combining multiple time frames, or multiple cycle lengths, to establish an understanding of longer-term trends. It defines support and resistance of long-term and shorter-term cycles using a variety of mathematical calculations based on market symmetry. It defines the three basic chart patterns within all cycles, and how to forecast the time bands and price targets for the troughs and crests of the phases within each cycle.
In the final analysis, it is the combination of knowing the right time and the right price that determines the degree of one’s success in trading or investing. This five volume set covers all of these factors in the most comprehensive studies ever conducted utilizing geocosmic, cycles, pattern recognition, trend analysis, and technical analysis studies.
Price INR 1275