Description: (1951) Risk and Return or How to Live With Wall Street - STOCK MARKET - 1st ED. Hardcover, Black cloth with giltstamped decoration to cover and gilt title to spine, First Edition, 1951, 127 pp. Book Condition: Good, boards slightly warped, cover rubbed and light soil, corners gently bumped, light shelfwear, previous owner sticker to front end papers, front and back hinge loose, endpapers and pages lightly tanned otherwise no marks, no dust jacket. Table of Contents: Chapter I: Professional, Chapter II. Ticker Tape, Chapter III: Market Secret, Chapter IV: Cutbottoms, Gaps and Shakeouts, Chapter V: Stops, News, and Scalping, Chapter VI: Prosperity and Depression, Chapter VII: Economic Pseudocycle, Chapter VIII: Million Dollar Rules, Chapter IX: Pure Investment, Chapter X: Philosophical Conclusion, 127 Pages with Illustrations, Indexed. Scarce Title, Collectible First Edition.
Price: 25 USD
Location: 91730
End Time: 2025-01-17T17:39:42.000Z
Shipping Cost: 4.95 USD
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Item Specifics
Return shipping will be paid by: Buyer
All returns accepted: Returns Accepted
Item must be returned within: 14 Days
Refund will be given as: Money Back
Publication Year: 1951
Format: Hardcover
Language: English
Book Title: Risk and Return or How to Live With Wall Street
Signed: No
Author: Sharp, Robert Lee; Matlock, Wallace H.
Publisher: Borden Publishing Company
Genre: Finance
Original Language: English
Topic: Stock Market Trading
Edition: First Edition