Terms Beginning With H
On this page you will find a list of all our topics starting with the letter H. The page contains links to guides, reviews etc.
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H-Model (Dividend Discounting Method)
Blog PostWe look at the H-Model, a dividend discounting method for valuing stocks. Accounts for gradual changes in dividend growth rates.
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Halal Binary Options
ArticleBinary options: Halal or Haram? Both sides of the debate evaluated with the best binary brokers offering Islamic trading accounts listed.
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Halal Brokers with Islamic Accounts
ArticleWe list the best Halal brokers with Islamic trading accounts in December 2024. Easily compare the best Islamic brokers with ratings and reviews.
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Halal Trading
ArticleGuide to whether day trading is Halal or Haram and how to do Islamic trading on the financial markets. We also the best list halal brokers 2024.
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Hamada’s Equation: Separating Financial Risk from Business Risk
Blog PostWe look at the Hamada's Equation and compare it to Miller-Modigliani. Separates business and financial risk.
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Hamilton-Jacobi-Bellman (HJB) Equation in Trading
Blog PostWe look at the HJB equation, what it's used for, and how it can be used to improve your trading, investing, or other decision-making processes.
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Hang Seng
Stock ExchangeHow to compare Hang Seng brokers. A guide to day trading the Hang Seng exchange including history of the index, trading hours, biggest players and more.
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Hantec Markets
Broker ReviewDive into our expert-driven Hantec Markets review, featuring first-hand tests, and discover how their platforms, fees, and accounts stack up.
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Harry Browne Permanent Portfolio
Blog PostWe discuss the Harry Browne portfolio, who it's best suited for, and run a backtest to see how it has performed against other portfolio alternatives.
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Hedge Fund Interview Questions (and Answers)
Blog PostWe provide insight into the hedge fund interview process across various types of funds. We give common questions and example answers.
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Hedge Fund Structure
Blog PostA hedge fund is a type of investment vehicle that pools together money from a group of investors and uses that money to speculate on a variety of assets, such as stocks, bonds, commodities, and derivatives. Hedge funds are typically structured as limited partnerships or limited liability companies, and are largely unregulated compared to traditional […]
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Hedge Fund Target Schools
Blog PostWe look at various categories of hedge fund target schools. What makes a hedge fund target school? Tips for those from non-target schools and more.
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Hedge Fund Technology (Data, Storage, Trading Systems)
Blog PostWe look at how hedge funds leverage real-time data, optimize algorithms, and ensure robust infrastructure for superior trading and risk management.
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Hedge Fund vs. Asset Management
Blog PostHedge Fund vs. Asset Management - We look at the differences between the two business models in how they operate and their profitability.
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Hedge Fund vs. Mutual Fund
Blog PostWhat is the difference between a hedge fund and mutual fund? We take a look at the various differences and commonly asked questions.
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Hedge Fund vs. Private Equity
Blog PostWe discuss hedge funds vs. private equity, the differences between the two in terms of strategy, hedge fund and private equity pay, and more.
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Hedge Fund vs. Venture Capital
Blog PostWe explore the difference between hedge funds and venture capital firms, their investors, investment examples, salaries, and more.
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Hedge Funds Don't Beat the Market – Is This a Bad Thing?
Blog PostHedge funds don't beat the market, but they shouldn't be expected to, given alpha is zero-sum and there are fees associated with doing business. Hedge funds
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Hedget Crypto Review
ArticleHedget is an emerging blockchain platform specialising in decentralised options trading. Find out how it works, from fees to live trading accounts.
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Hedging Irrelevance Proposition
Blog PostWe look at the Hedging Irrelevance Proposition: a theory suggesting hedging doesn't impact firm value in perfect markets, as investors handle risk directly.
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Heteroskedasticity - Meaning, Types, and Applications
Blog PostHeteroskedasticity is a condition in which the variance of a statistical variable is non-constant across values of that variable. In other words, heterosked
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Heuristics and Metaheuristic Algorithms in Trading & Quantitative Finance
Blog PostWe look at how various forms of heuristic and metaheuristic algorithms can help us with various portfolio optimization, risk management, and trading tasks.
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HF Markets
Broker ReviewOur team weigh the pros and cons of trading with HF Markets. We evaluate account types, typical spreads, minimum deposits, leverage, app features & more.
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Hidden Markov Models in Finance, Markets & Trading
Blog PostHidden Markov Models - We discuss the core components, operational dynamics, application to financial markets, and limitations.
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Hidden Variables in Finance
Blog PostWe look at hidden variables’ impact on market dynamics, role in decision-making, how to uncover them, a coding example, and more.
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Hierarchical Risk Parity (A ML Approach to Building Balanced and Well-Diversified Portfolios)
Blog PostLearn about Hierarchical Risk Parity as an approach to trading or investing in the financial markets. Plus, a Python example.
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High Dimensionality in Finance
Blog PostHigh dimensionality in finance - numerous interrelated factors affecting asset values. Complex analytical challenges. How are they handled?
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High Frequency Trading
ArticleFind out how high-frequency trading (HFT) works in this guide for beginners. We explain its history, regulations and technological evolution.
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High Inflation Investing: How to Profit From Inflation
Blog PostIn this article, we're going to cover high-inflation investing and are going to learn how to profit from inflation.
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High-Probability Trading Strategies
Blog PostWe look at various types of high-probability trading strategies, how they're executed, and their payoff diagrams.
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High/Low Options
ArticleHigh/low options are the most straightforward binary contract and suitable for beginners. We explain how high/low binary options work with strategy tips.
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Higher-Moment Portfolio Optimization
Blog PostWe look at the significance of higher-moment portfolio optimization, incorporating skewness and kurtosis for comprehensive risk assessment & better returns.
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Highest Payout Binary Options Brokers
ArticleWhich binary options brokers offer the highest payouts? List of high payout binary options brokers and trading platforms.
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Himalaya Options
ArticleA Himalayan option is an exotic path-dependent option where the payoff is determined by the best performer in a basket of underlying assets. Find out more.
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Hiring Traders to Work for You: What You Need to Know
Blog Posthedge fund, family office, or other business designed to make money trading the financial markets, at some point you will probably want to hire traders to
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Hong Kong Stock Exchange
Stock ExchangeHKEX brokers enable trading on one of the biggest stock exchanges in Asia. Our trading tutorial unpacks the best platforms, trading hours, volumes and more.
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Hong Kong’s ‘Special Status’: What It Means & How China Reacts
Blog PostHigh-ranking members of the Trump administration have asserted that Hong Kong no longer merits a special status as it pertains to trade. This could give the
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Hostile Takeover
Blog PostWhat Is a Hostile Takeover? A hostile takeover is the acquisition of one company (the "target") by another (the "acquirer") where the target's board of dire
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Hot Keys in Trading
Blog PostBoost your trading efficiency with hot keys – execute orders, manage positions, and navigate platforms faster, reducing errors and improving performance.
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Hot Money in Trading
Blog PostHot money trading explained: uncover how quick capital flows influence markets, driving volatility and opportunity.
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How Accurately Can Stock Prices Be Estimated Through Linear Regression?
Blog PostEstimating the value of something or determining relationships between two variables is commonly done through linear regression methods.
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How and Why Banks Runs Happen [Within a Macro Context]
Blog PostWe cover the concept of bank runs in a macro framework, covering topics such as debt reduction, credit contraction, and the impact on the real economy.
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How Are Trading & Investing Algorithms Built? (Guide)
Blog PostWe look at how trading algorithms are crafted using data analysis, predictive modeling, and backtesting. Executing trades and maximizing rewards.
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How Commodities Corp Created the World’s Best Traders
Blog PostHow did Commodities Corp shape elite traders? Learn their strategic approach to trading success and the rulebook that changed the game.
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How Difficult is Day Trading?
Blog PostDiscover why day trading is more challenging than it seems, from cognitive demands to high failure rates, and what it takes to succeed in this intense environment.
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How Do Banks Make Money? (Breakdown)
Blog PostHow does banks make money? We answer this question in an in-depth and easy to understand way. Learn how now!
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How Do Cash Reserves Affect Asset Prices? The Mechanics
Blog PostCash reserves don’t predict markets – but their mechanics matter. Learn how shifts in demand and market psychology impact asset prices.
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How Do Countries Lose Their Reserve Currency Status?
Blog PostWe look at the key factors behind the loss of reserve currency status: economic vulnerabilities, increasing debt, chronic devaluations, and currency runs.
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How Do Crypto Strategies Differ from Traditional Markets?
Blog PostWe look at key differences in crypto vs traditional trading strategies. Learn how to manage volatility, 24/7 markets, and unique risks.
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How Do I Make $500, $1,000, $5,000... Per Month in Dividends?
Blog PostMonthly dividends are prized because they provide reliable and consistent income. Dividends by and large are used to signal that a certain amount of corporate earnings are guaranteed. Stocks tend to be punished heavily when dividends are cut. And given most companies tend to grow their earnings over time and dividends become a more realistic […]
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How Do Professional Traders Think and Trade?
Blog PostWe take a look at how professional traders think and trade, and the frameworks that are commonly used to perform well in markets.
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How Do Stock Prices Move?
Blog PostHow Do Stock Prices Move? Money and credit are what fundamentally move markets. Stock prices move based on buying and selling activity in response to
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How Does GLD Invest in Gold?
Blog PostWe look at how GLD invests in gold and important information regarding this ETF. Also, comparisons with IAU, GDX, and gold futures.
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How Does Government Bond Issuance Affect Markets?
Blog PostWe look at the impacts of government bond issuance on financial markets and the economy. How does the gov't decide which duration to issue?
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How Does the Stock Market Affect the Economy?
Blog PostThe stock market is an important part of the overall functioning of the economic system. Learn more about how stocks affect the economy.
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How Empires Rise and Fall
Blog PostHow Empires Rise and Fall | Economic conditions influence human nature and human nature influences economic conditions. Broadly, there are five stages to
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How Exponents & Non-Linear Math Can Help You Build Wealth
Blog PostOur brains do a poor job of processing exponentiation. But exponents and non-linearities are a big part of trading, investing, and financial markets. As a trader, your job involves assessing reward relative to risk and getting the former as high as possible relative to the latter and risk as low as possible in an absolute […]
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How Fast Do Markets Price In News and Events?
Blog PostDiscover how fast markets react to news & events and what factors influence the speed of reaction. Learn how traders can profit from short-term movements.
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How Important Is a Bloomberg Terminal in Trading?
Blog PostWe look at the question of how important a Bloomberg Terminal is in trading? Do you need one? We look at the pros and cons.
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How Interest Rates Impact Banks
Blog PostInterest rates play an important role in how a bank makes money. Interest rates influence a bank’s business both directly – i.e., driving loan, securities and deposit pricing and borrowing costs – and indirectly – i.e., impacting loan demand, default rates, and capital markets activity. Over the past more than four decades, interest rates have […]
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How Large of a Drawdown Should Be Tolerated?
Blog PostWe look at how large of a drawdown you should tolerate in your portfolio. Helpful factors to consider to help you decide.
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How Long Should You Test a Trading Strategy?
Blog PostWe look at what goes into testing a trading system and how much time you need to draw effective conclusions.
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How Market Makers Choose Their Markets & Strategies
Blog PostWe look at the various ways in which market makers choose their markets and strategies, as well as controlling their fees.
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How Money Creation Works
Blog PostThe way money creation works in an economy and how the commercial banking system operates is broadly misunderstood. The way that it’s commonly taught in int
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How Much Can You Make Day Trading?
Blog PostWe look at how much you can make day trading across various categories and criteria.
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How Much Money Do I Need To Start Day Trading?
Blog PostWe look at how much money is required to start day trading, from a regulatory perspective and also to generate a full-time income.
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How Much of a Portfolio Should Be in Cryptocurrency?
Blog PostHow much of your portfolio should be in cryptocurrency? In previous articles, we discussed cryptocurrency as an alternative to stocks and gold. To some extent, it could be. The main issue with cryptocurrencies right now is their speculative nature. It means there’s a lot of volatility, often some 10x the level of stocks, depending on […]
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How Often Should You Rebalance a Portfolio? [Empirical Results]
Blog PostWe look at the importance of rebalancing your portfolio, finding the right frequency, optimizing risk-adjusted returns, and managing tax implications.
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How Policymakers Are Constrained & What It Means for Traders
Blog PostPolicymakers can get what they want, but only to a point. In this article we’ll explain how policymakers are constrained and what it means for markets. Where policymakers are constrained Central banks can do a good job of putting more money and credit into the markets. And, when combined with fiscal policymakers, they’re effective at […]
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How Retirement Plans Vary By Country
Blog PostWe look at global retirement plans: from US IRAs to Australia's Superannuation. Understand tax benefits and choose wisely for a secure retirement future.
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How Should Traders Spread Their Bets?
Blog PostSome trades are better than others. How should you spread your position sizing? We look at the concept of bet spreading.
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How Small Traders Can Compete in Markets
Blog PostFind out how small traders can turn challenges into opportunities and compete with large investors.
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How the Game Monopoly Can Help You Beat the Markets
Blog PostThe game Monopoly is a useful analogy to apply to the broader economy. If you understand how Monopoly works you can pretty well understand how markets and
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How Tight Monetary Policy Affects Debt Assets
Blog PostWe look at how monetary policy affects debt assets and how tight/loose policies impact investment strategies, risk management, and portfolio diversification
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How to (Tactfully) Bet Against the Consensus
Blog PostTo do well, you need to bet against the consensus and be right, but you need to bet against the consensus in a tactful way. Picking what’s likely to be good
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How To Avoid Forex Trading Scams
ArticleOur experts share tips for avoiding forex trading scams and reveal common tricks used by fraudsters. Learn what to do if you've been scammed.
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How to Avoid Pattern Day Trading
Blog PostWe look at the many strategies on how to avoid pattern day trading. There are many methods to go about this.
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How to Become a Professional Trader - 2 Main Paths
Blog PostWe look at how to pursue a trading career. Two paths: dive in for immediate independence or work up with structured education. Tips for success included.
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How To Become A Successful eToro Popular Investor
ArticleFind out how to become a strategy provider on eToro, from someone who has done it. I explain how the Popular Investor program works and share my key tips.
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How To Build A Balanced Portfolio
Blog PostIn this article, we’ll cover how to build a balanced portfolio and various examples of what a balanced portfolio allocation looks like. This will involve ex
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How to Build A Commodities Portfolio
Blog PostCommodities are nowhere near as popular as stocks and bonds as an asset class. Pension funds largely concentrate their holdings in stocks, bonds, and other forms of equity like real estate and alternatives. Retail traders and investors have very little exposure to commodities. The main players in commodities are those who need to physically transact […]
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How to Build a Machine Learning Day Trading Strategy
Blog PostBuild your own machine learning day trading strategy! Follow our roadmap to use data, algorithms, and risk control.
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How to Build A Stock Portfolio
ArticleWhen we think of how to build a stock portfolio, let's preface this by saying that beating the market is hard. About 95 percent of professional equity manag
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How to Build the Boglehead 3-Fund Portfolio
Blog PostThe 3-fund portfolio – often called the Boglehead 3-fund portfolio after Vanguard's late founder John C. Bogle – is a simple, low-cost portfolio that consis
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How to Build Your Own Day Trading Indicators
Blog PostDiscover how to build custom trading indicators tailored to your strategy. Step-by-step how to create, test, and optimize.
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How To Buy Bitcoin
ArticleHow To Buy Bitcoin - How and where to get involved buying BTC. We explain wallets, mining and CFD trading to explain how you can buy bitcoin today.
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How To Buy Cheap Stocks In Any Market
Blog PostHow to buy cheap stocks | The concept of the cash-secured put, or selling put options for income, is one method traders of all stripes (individual, institu
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How to Calculate Cash Flow in Real Estate
Blog PostWhen I talk about real estate – and how to calculate cash flow in real estate specifically – I’m getting slightly sidetracked from the idea of day trading
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How to Calculate CFROI
Blog PostCash flow return on investment (CFROI) is a valuation method by which it is assumed that the stock market sets prices based on cash flow rather than company performance and earnings reports. For the company, it essentially equates to an internal rate of return (IRR) calculation. Calculating CFROI The CFROI is compared to the total […]
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How to Calculate Deadweight Loss
Blog PostIn economics, deadweight loss is defined as the loss of economic efficiency that can occur when the market for a good or service is not in equilibrium. The
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How to Calculate Portfolio Beta
Blog PostWe look at how to calculate portfolio beta + a simple portfolio example.
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How to Calculate Swap Rates
Blog PostWe look at how to calculate swap rates, step by step with relevant examples. Also discussed are quant models for challenging problems.
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How to Choose the Appropriate Model for Business Valuation
Blog PostHow do we know which business valuation model is most appropriate to apply given a set of circumstances? We will teach you how.
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How to Complete a Cash Flow Statement from the Income Statement and Balance Sheet
Blog PostIn this article, we'll go over how to complete a cash flow statement from the income statement and balance sheet and how to analyze and interpret the cash f
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How to Control Emotions in Day Trading
Blog PostTips for controlling emotions in day trading for success. Strategies like developing a trading plan, risk management, maintaining discipline, and more.
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How To Day Trade IPO Stocks
ArticleLearn how to trade companies as they go public. Our experts reveal the key things to consider when day trading IPO stocks.
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How to Day Trade with Limited Time
Blog PostShort on time but still want to day trade? Learn how to make the most of your limited hours and still profit in the markets with efficient trading tips.
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How to Deal with Trading Losses
Blog PostOverwhelmed by trading losses? This guide reveals key strategies to manage risk, control emotions, and transform losses into learning opportunities.
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How to Design a Less Volatile Stocks Portfolio
Blog PostWe look at how to design a less volatile stocks portfolio using a combination of stable-earning companies and macro overlays.
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How to Design a Portfolio
Blog PostWe look at what it takes to design a portfolio and the overall considerations that go into it. Valuable to learn even for all traders.
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How to Design an Algorithm for Predicting Exchange Rates
Blog PostWe look at what goes into designing an algorithm for predicting exchange rates. We look at steps & techniques. Plus an example model.
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How to Design an Institutional Trading System
Blog PostWe go over the aspects of designing an institutional trading system. Strategic and tactical asset allocation, risk management, and more.
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How to Determine The Direction Of Financial Markets
Blog PostHow to determine the direction of financial markets? Focus on who’s buying and who’s selling. Too many who invest in stocks (and other financial assets) foc
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How to Determine Value in Markets
Blog PostWe look at the art of valuation in investing and trading. Learn key concepts like fair value, intrinsic value, market price, and more.
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How To Develop a Bankroll for Trading
Blog PostWe look at how to build a bankroll for trading purposes. What are the approaches and how to do it effectively for best results?
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How to Generate Leverage in a Portfolio
Blog PostWe look at leverage in investing. Amplify your potential returns, but beware of the risks. Options, futures, borrowing, shorting, and more.
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How to Generate New Trading Strategies
Blog PostCreate a trading strategy that fits your strengths. Let's look at some ways to build a custom approach to new trading strategies.
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How to Generate Synergy in a Portfolio
Blog PostTrading is like other businesses where you can achieve better results if you can achieve synergy. Synergy refers to using various parts of a portfolio in ways that help support and reinforce the other. We talked in separate articles about how having differentiated, uncorrelated returns streams in a portfolio and balancing and blending them well […]
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How to Hedge A Retirement Portfolio
Blog PostIf you have a retirement portfolio, chances are it has a lot of equity exposure. Learn more about the likelihood of losses.
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How To Identify Whether Market Trends Are Sustainable
Blog PostRisk should always be proportional to reward. Therefore, one of the most basic ways to determine whether market trends are sustainable is to look at the com
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How to Improve Risk-Adjusted Returns
Blog PostRisk-adjusted returns normally refers to the idea of improving the relationship between return and risk in a portfolio. Learn how to improve your returns.
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How to Install Python in R Studio (Easy)
Blog PostWe show How to Install Python in R Studio. Use our scripts for easy setup. We also provide a sample Python Script for you to test.
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How to Invest 1 Million Dollars
Blog PostHow to invest 1 million dollars | In a previous article, we went through the importance of having a balanced portfolio. Namely, how do we have a strategic
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How to Invest in the S&P 500
Blog PostWhen thinking about how to invest in the S&P 500, you can purchase an ETF or mutual fund, or buy stocks in the index individually. There are pros and cons
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How To Know When You're Ready to Start Trading
Blog PostWhen are you ready to start trading? We break down what goes into it.
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How to Learn Machine Learning for Traders & Investors (Study Map)
Blog PostWe look at how to learn machine learning for traders and other finance professionals, both from a self-study and more structured approach.
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How to Leverage Cash Yields
Blog PostThis article will discuss how it’s possible to leverage cash yields. Cash yields a return of just under 2 percent in the US, though it compares relatively
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How to Live Off Dividends
Blog PostIf you're looking to live off dividends and investments, there are a few things you need to consider. First, you need to make sure you have enough money
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How to Make $100,000 Per Year From the Markets Within 4 Years
Blog PostThis article provides an illustrative example of how to make $100,000 per year from the markets. For most, this amount is enough to support a quality
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How to Make a Monte Carlo Simulation in Python (Finance)
Blog PostMonte Carlo Simulation in Python - We run examples involving portfolio simulations and risk modeling. List of all applications.
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How to Measure Risk in Financial Markets (VaR, Standard Deviation, and More)
Blog PostWe look at how to measure risk in finance, including standard deviation, VaR, CVaR, expected shortfall, beta, and the Sharpe, Sortino, and Treynor ratios.
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How to Model the Term Structure of Interest Rates & Credit Spreads
Blog PostWe look at 20+ ways of how to model the term structure of interest rates and credit spreads. Plus, a coding example.
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How to Navigate Paradigm Shifts in Financial Markets
Blog PostParadigm shifts occur when markets over-extrapolate one set of conditions into the future despite those conditions being unsustainable. The last decade and even the last 40 years are what traders and other market participants think will probably hold. However, that could easily be wrong because we’re now in a totally different world. If you take […]
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How to Predict the Housing Market
Blog PostReal estate is usually the largest single asset that most people will purchase during their lifetimes. It’s also a huge asset class. In the US alone, residential real estate is nearly a $40 trillion asset class (about $120,000 per person). So there’s a lot of interest in being able to develop a view of how […]
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How to Setup a Trading Algorithm in C++
Blog PostWe look at what goes into building a trading algorithm or trading system in C++. High-level overview + more specifics.
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How to Short Sell and Be Neutral on Short-Term Direction
Blog PostLearn how to optimize your short selling strategies in Neutral markets while making short term trades.
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How to Short Stocks with Zero Downside
Blog PostShort selling, commonly known as shorting, is risky. When shorting a stock, your upside is limited to 100 percent (the value of the short); the downside is
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How to Start Your Own Trading Firm
Blog PostWant to start a trading firm? Learn the critical steps, from capital to strategy.
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How to Trade a Late-Cycle Economy
Blog PostA late-cycle economy is characterized by higher inflation , low unemployment, speculation, and eventually rising market volatility. Late-cycle economies hav
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How to Trade Emerging Markets (Part I)
Blog PostThe types of debt crises that emerging markets go through are different from the ones that developed countries go through. When emerging markets borrow,
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How to Trade Emerging Markets (Part II)
Blog PostInvestors are increasingly interested in emerging markets because of the higher prospective returns associated with them.
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How to Trade Emerging Markets (Part III)
Blog PostThis is Part III of an ongoing series on how to trade emerging markets.
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How to Trade Emerging Markets (Part IV)
Blog PostThis is Part IV of an ongoing series on how to trade emerging markets.
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How to Trade Emerging Markets (Part V)
Blog PostThis is Part V, and the final part of an ongoing series on how to trade emerging markets.
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How To Trade Indices
ArticleThis tutorial explain indices, from how they are calculated to trading a popular index such as the S&P 500. Discover the pros and cons of indices trading.
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How To Trade Momentum In Technical Analysis
Articlen technical analysis, momentum typically refers to the rate of change in a security’s price. It may also refer to the rate of change in a security’s volume.
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How to Trade the Credit Impulse
Blog PostThe credit impulse has been given a lot more attention over the past several years as a potential variable to include as part of a tactical asset allocation strategy. Traders have long known that credit creation is a big factor in what determines prices. The price of anything is the amount of money and credit […]
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How to Trade Water Rights
Blog PostDiscover the essentials of trading water rights: understand regulations, market dynamics, diversification potential, and the environmental impact.
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How to Turn Academic Papers into Trade Ideas
Blog PostWe look at how to turn academic papers into trade ideas. We run through an example and the angles we can think of.
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How To Use Charts For Day Trading
ArticleLearn how to read charts for short-term trading and analysis. We explain the types of trading charts and reveal the best charting software.
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How to Use the Present Value Formula
Blog PostThe present value formula is a financial tool that can be used to assess the current value of an investment. This formula takes into account the time value
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How To Use Twitter For Trading
ArticleA guide to trading with Twitter. Must-see tips and tricks for using Twitter to trade, including who to follow and how to use cashtags.
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How to Value Distressed Firms through Black-Scholes
Blog PostUsing the Black-Scholes options pricing model, we can determine: the level of equity in a firm its value of outstanding debt the appropriate interest rate on the debt it has, and its risk neutral probability of default (i.e., bankruptcy) This model would be most applicable to distressed, highly leveraged firms. A distressed firm is one […]
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How We Test Brokers
ArticleOur broker testing methodology explained. Discover how we review, compare and rank online brokers and trading platforms.
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How Will Climate Change Effect Trading?
Blog PostOn the 17th of April, there was a letter posted in the Guardian newspaper (UK) that may change the way financial institutions think about climate change.
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How Would a US Dollar Devaluation Affect Assets?
Blog PostA US dollar devaluation would have an impact on movements in other asset classes. As of late 2019, currency volatility is among the lowest it’s ever been wi
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How Would a Yuan Devaluation Impact Assets?
Blog PostIn a previous article, we covered how a US dollar devaluation would impact various asset classes. Here, we’re going to discuss how a yuan devaluation (also
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Hull-White Model - Purpose, Applications, Mathematics
Blog PostThe Hull-White Model, a widely used short-rate model in finance, is used in understanding interest rate behavior and pricing fixed-income securities.
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HUMBL Pay
Payment MethodFind out how to make HUMBL Pay deposits to start crypto trading. We evaluate and list the best brokers with HUMBL Pay.
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Humbled Trader
Trader ServiceHumbled Trader is a community for stock day traders that focuses on sustainable profits and personal development. Read our review for details.
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HYCM
Broker ReviewHYCM equips forex and CFD traders with leading tools, fast deposits and tight spreads. Check out our review for more information on the broker.
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Hyperinflation: Definition, Causes, Examples, Remedies
Blog PostHyperinflation refers to a situation in which goods and services inflation is very high and typically increasing in a non-linear way. The real value of the