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This requires companies to be very clear about how they plan to win in their chosen market. What is our commodity focus? Are we a dividend or a growth stock? Should we design mass scale or modular mines? What culture, skills, processes and technologies will support our strategic goals?"...
It’s like astock market simulationor astock market gamewhere instead ofpaper tradingequities, you’re pretending tobuy and sell web sites. But how is the value of a web site determined? That’s a rather subjective point, but here’s how Alexadex does it:Read the rest of this entry ...
intuition is right. When you have a great game, you immediately know it. That said, however, we find from time-to-time surprises and let’s not forget we are working in a team and when every person has a different view it’s better to try and see how the market responds rather than...
There is some truth to the efficient markets hypothesis. If you analyze stock prices in detail you’ll find they often exhibit properties of a random walk. However, efficient market hypothesis also has major flaws. You only need to see the crazy moves in shares like GameStop and AMC to und...
was finding flyer distribution a viable means of generating interest in their products. In the past twelve months however and more specifically when I took over in October, I have made sweeping reforms to the way that data is collected and the type of data that is presented in the market...
Showing 10 of 20 How to Pass the CFA Exam Articles Show All How to Use a Mock CFA® Exam to Sharpen Your Testing Skills Taking mock CFA exams is an important step in the process of preparing for a CFA exam. Surprisingly, some CFA candidates do not use them, but those who do, ...
Condrey: I certainly see a lot of opportunity ahead, and some room to go and get it right. I think about the areas where an online-connected game can go wrong. There are some big buckets. Some of it is your network code, the way you write your game. Some of it’s your backend....
(ERP)is a measure of market risk that reflects the excess return that investors demand for investing in stocks over and above therisk-free rate of return. In other words, it is the implied additional compensation that investors require to hold an investment in the broader stock market, which...
Financial institutions can use the model to assess the risk associated with holding options. Through multiple market simulations and observing how changes in market variables like interest rates and stock prices affect the option's value, risk managers can better understand potential losses and prepare...