Clive M. Corcoran has been an active trader for many years on both sides of the Atlantic. He is also a trading software developer and consultant and focuses on risk reduction and market neutral strategies for portfolio managers. He has been a university lecturer in Economics and Statistics, is an acknowledged communicator on the capital markets and has been a featured speaker at trading expos and workshops. Previously he worked in radio broadcasting and was the founder and CEO of a personal and business management company for entertainment professionals that operated in Los Angeles, London and Toronto. Corcoran’s newsletter and daily market analysis are published at www.tradewithform.com. He lives in Berkshire, England.
1 Coming to Terms with New Market Dynamics.
2 Range Expansion and Liquidity.
3 Comparative Quantiles.
4 Volume as a Leading Indicator.
5 Alignments and Divergences.
7 The Morphology of Gaps.
8 Correlation and Convergence.
9 Random Walks and Power Laws.
10 Regime Shifts and Stationarity.
11 Money Management Techniques.
12 Portfolio Theory.
14 Markets as Networks.