Zero-risk investment model

Author: Wen Bin
Publisher:
Publish Date: 2001-08-01
Features: The fundamental theoretical framework of "Zero-Risk Investment Model" is based on volume, candlestick combinations, and moving average systems, starting from the source of technology. "Zero-Risk Investment Model" is an investment management system for stock investment risks and achieve stable profits. This investment model is established on statistical principles, extensive computer statistical testing and practical experience verification, forming a scientific stock investment management system that is fully suitable for conservative investors. The book provides a detailed introduction to the structure of the zero-risk investment model in sixteen parts, aiming to teach a brand-new investment philosophy, as well as how to select, buy, sell, escape the top, copy the bottom, set stop-loss, and lock profits, etc. The ultimate winning method to achieve stable profits. Each chapter is concise and to the point, striving to use precise language to thoroughly explain issues, making it easily understandable and masterable for ordinary investors, and featuring easy comprehension, easy mastery, and easy application.

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