"Demystifying the Markets" is a comprehensive guide designed to make financial markets accessible to everyone, from beginners to experienced investors. Through a clear and progressive approach, this book explains the key forces that drive financial asset prices and helps you develop a disciplined and reliable analytical framework.
You will explore the foundations of fundamental analysis, including economic growth, inflation, interest rates, central bank policies, macroeconomic indicators, and corporate earnings. You will also learn to master the essential tools of technical analysis, such as Dow Theory, the Wyckoff Method, Volume Profile, Smart Money Concepts, Japanese candlesticks, market trends, chart patterns, technical indicators, and risk management.
Illustrated with numerous practical examples, summary diagrams, and real-world case studies, this book demonstrates how to combine fundamental and technical analysis to make more objective, consistent, and informed investment decisions.
The book also examines the latest developments shaping today's financial markets, including artificial intelligence, algorithmic trading, and the automation of trading strategies using MQL4 and MQL5.
Whether your goal is to invest in stocks, Forex, commodities, cryptocurrencies, or stock market indices, "Demystifying the Markets" provides the essential knowledge needed to understand financial markets, manage risk effectively, and build a disciplined, long-term investment strategy.
Kévin Fikri is a self-taught author and independent researcher with a passion for financial markets, economics, and emerging technologies applied to investing. For many years, he has studied the relationships between fundamental analysis, technical analysis, risk management, and algorithmic trading to develop objective, systematic, and reproducible investment methodologies.
Through his work, he pursues a simple mission: to make financial markets understandable and accessible to everyone. Convinced that long-term success is built on knowledge, discipline, and a structured approach, he is committed to explaining complex financial concepts with clarity and practical insight.
His areas of research include macroeconomics, monetary policy, equity markets, Forex, commodities, cryptocurrencies, quantitative analysis, artificial intelligence applied to finance, and the development of automated trading strategies using MQL4 and MQL5.
Alongside his work as an author, Kévin Fikri develops decision-support tools and research projects that combine artificial intelligence, financial analysis, and investment process automation.
With "Demystifying the Markets", he brings together the essential principles of economics, fundamental analysis, technical analysis, and risk management into a single comprehensive guide. His goal is to equip readers with the knowledge and analytical framework needed to better understand financial markets, make informed investment decisions, and build sustainable long-term investment strategies.
Il n'y a pour le moment pas de critique presse.