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It has also been announced as a core text for Open University courses from January 2008.","brand":"WoB","offers":[{"title":"GB \/ NEW \/ GARDNERS","offer_id":50005250605357,"sku":"NGR9780141032702","price":0.0,"currency_code":"GBP","in_stock":true}],"thumbnail_url":"\/\/cdn.shopify.com\/s\/files\/1\/0810\/6996\/5613\/files\/0141032707.jpg?v=1726640038"},{"product_id":"panic-book-michael-lewis-9780141042312","title":"Panic!","description":"From Black Monday to the Asian financial crisis, from the internet bubble to mortgage meltdown, our lives are ruled by crazy cycles of euphoria and hysteria that manage to grip the world but are all-too-soon forgotten.   In this unique collection of articles Michael Lewis - ex-trader and bestselling chronicler of greed and frenzy in the markets - casts a sceptical eye back over the most panicked-about panics of recent decades. He tells a story of boom and bust, deranged greed, outsized egos and over-inflated salaries, where the only thing that can ever be predicted is our constant inability to predict anything.   Using contemporary accounts from commentators such as Joseph Stiglitz, Jeffrey Sachs and Paul Krugman, plus many of his own best writings, Lewis conveys the mood before each catastrophe, what it was like in the heat of the moment, how, afterwards, we tried to explain away the chaos - and then failed to learn from it before the whole process started all over again.","brand":"WoB","offers":[{"title":"GB \/ NEW \/ GARDNERS","offer_id":50005252899117,"sku":"NGR9780141042312","price":0.0,"currency_code":"GBP","in_stock":true}],"thumbnail_url":"\/\/cdn.shopify.com\/s\/files\/1\/0810\/6996\/5613\/files\/B004H8GMG2.jpg?v=1726640052"},{"product_id":"crucial-accountability-tools-for-resolving-violated-expectations-broken-commitme-book-kerry-patterson-9780071830607","title":"Crucial Accountability: Tools for Resolving Violated Expectations, Broken Commitments, and Bad Behavior, Second Edition","description":"Hold anyone accountable. Master performance discussions. 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A disciplined implementation of his proven strategy enhances the ability of every trader to:  Lock in profi ts and mitigate risk with a minimal number of switches per year among US equities, non-US equities, and bondsEstablish meaningful control over investment risk once an asset's value begins to declineRemove emotional and behavioral biases from your decision making while taking advantage of these same biases in other traders to achieve exceptional returns   Each facet of GEM is explained with simple clarity using the perfect amount of supporting theory, historicalanalysis, and understandable data. Pragmatic techniques come to life with real-world relevance that both deepens your understanding of why dual momentum trading works and better prepares you for using it with your own investments. From picking a cost-effective brokerage firm, to making asset choices, to customizing your strategy as you near retirement--this reliable guide helps you do it all with the confidence you'll gain through repeated success.  You put a lot into earning your wealth; now take the next step with Dual Momentum Investing and properly protect it while it's working for you.  PRAISE FOR DUAL MOMENTUM INVESTING:\"Gary Antonacci takes us on a comprehensive tour of investment methods, exploring their strengths and weaknesses, and lays out a strong case for combining absolute and relative momenta. I consider Dual Momentum Investing as an essential reference for system designers, money managers, and investors.\" -- ED SEYKOTA  \"Gary Antonacci's Dual Momentum Investing is what happens when Ed Thorpe's Beat the Dealer meets Seth Klarman's Margin of Safety. This is an ambitious and must-have book.\" -- CLAUDE ERB, retired Managing Director, TCW Group, Inc.  \"Antonacci presents a clear and scholarly sound case for the success of a simple momentum-based strategy. Give it a try; you'll be hooked!\" -- JOHN NOFSINGER, PhD, Seward Chair of Finance, University of Alaska Anchorage, and author of The Psychology of Investing  \"A treasure of well-researched, momentum-driven investing processes. Antonacci clearly shows a number of different methods that anyone who is serious about a long-term strategy will find easy to implement. This is one of those five-star books; it is logical and easy to grasp.\" -- GREGORY L. MORRIS, Chief Technical Analyst and Investment Committee Chairman, Stadion Money Management, LLC, and author of Investing with the Trend  \"A must-read for both individual investors as well as financial advisors. It will forever change the way you think about developing investment and asset allocation strategies.\" -- DR. 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Cohen systematically covers every key area of options strategy: income strategies, volatility strategies, sideways market strategies, leveraged strategies, and synthetic strategies.        Even the most complex techniques are explained with unsurpassed clarity – making them accessible to any trader with even modest options experience. More than an incredible value, this is the definitive reference to contemporary options trading: the one book you need by your side whenever you trade. 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The accessible style assumes no prior knowledge on the part of the reader, and the full range of themes and topics explored provides a rich picture of the realities of organizational behaviour and work.  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