Description

Book Synopsis

Find a method to evaluate stocks and build a record of impressive returns

Short Selling for the Long Term describes the methods used by Joseph Parnes, President of Technomart, to obtain consistent returns in the stock market. Most investors fail to exceed the returns represented by the Standard and Poor's Stock Index, but Parnes often does using his investment philosophy. This book outlines his method of stock assessment, providing an understandable formula. If the formula tells a reader to buy a stock, then, as explained, there is a significant chance that stock will go up. If the formula tells a reader to short a stock, then the book shows how there is a significant chance that the stock will go down.

Parnes advocates the use of short selling as a long-term strategy in combination with long positions, so advisors and individual investors alike can profit in both rising and falling markets. While most investing books focus on how to make money over the l

Table of Contents

Preface ix

Chapter 1 Investment Philosophy 1

Chapter 2 The Bank of England Lecture 9

Chapter 3 Portfolio Management—General Principles 19

Chapter 4 Explanation of the Use of the 50-Day Moving Average and 200-Day Moving Average 31

Chapter 5 The Theory Behind the “Parnes Parameters”: Using Pattern Recognition, Retrospective Analysis, and Bayesian Analytics 43

Chapter 6 Variables to Consider for the Parnes Parameters 63

Chapter 7 Shorting for the Long Term 81

Chapter 8 A Case Study for a Stock I Shorted for the Long Term—Chipotle 107

Chapter 9 Case Studies for Integrating Shorts for the Long Term with Longs 121

Chapter 10 Modern Trader Charts 159

Glossary 215

Index 227

Short Selling for the Long Term

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    A Hardback by Joseph Parnes

    10 in stock

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      View other formats and editions of Short Selling for the Long Term by Joseph Parnes

      Publisher: John Wiley & Sons Inc
      Publication Date: Publication Date: 14/05/2020
      ISBN13: 9781119527763, 978-1119527763
      ISBN10: 1119527767

      Description

      Book Synopsis

      Find a method to evaluate stocks and build a record of impressive returns

      Short Selling for the Long Term describes the methods used by Joseph Parnes, President of Technomart, to obtain consistent returns in the stock market. Most investors fail to exceed the returns represented by the Standard and Poor's Stock Index, but Parnes often does using his investment philosophy. This book outlines his method of stock assessment, providing an understandable formula. If the formula tells a reader to buy a stock, then, as explained, there is a significant chance that stock will go up. If the formula tells a reader to short a stock, then the book shows how there is a significant chance that the stock will go down.

      Parnes advocates the use of short selling as a long-term strategy in combination with long positions, so advisors and individual investors alike can profit in both rising and falling markets. While most investing books focus on how to make money over the l

      Table of Contents

      Preface ix

      Chapter 1 Investment Philosophy 1

      Chapter 2 The Bank of England Lecture 9

      Chapter 3 Portfolio Management—General Principles 19

      Chapter 4 Explanation of the Use of the 50-Day Moving Average and 200-Day Moving Average 31

      Chapter 5 The Theory Behind the “Parnes Parameters”: Using Pattern Recognition, Retrospective Analysis, and Bayesian Analytics 43

      Chapter 6 Variables to Consider for the Parnes Parameters 63

      Chapter 7 Shorting for the Long Term 81

      Chapter 8 A Case Study for a Stock I Shorted for the Long Term—Chipotle 107

      Chapter 9 Case Studies for Integrating Shorts for the Long Term with Longs 121

      Chapter 10 Modern Trader Charts 159

      Glossary 215

      Index 227

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