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Free stock market ticker and portfolio manager to track your stocks and trades
Manages your portfolio and downloads intraday and historical stock quotes
Create and maintain your personal investment portfolio on your handheld device
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Free stock market ticker and portfolio manager to securely track your stocks and trades. Real time and international quotes included in stock ticker. Full featured with no limitations. Use as long as you like.
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StockQuoter is a portfolio manager and downloader for intraday, end of day and historical stock quotes. The generated data is compatible with most charting and technical analysis software. No more monthly charges. Get your quotes for free.
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MALINA Portfolio is a compact, nicely organized cute color tool for creating and maintaining your winning personal investment portfolio using any Palm-OS handheld, with possibility of almost real-time updating stock prices through the Internet. MAL..
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Stock Portfolio Manager. It provides quotes, and allows notification based on user's predefined rules.
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With FXWitz Flash Photo Portfolio you can make, publish online, update your multimedia portfolio with the images of new works every time you desire at zero cost independently all in Flash with a few click. From today you can: have yours work online..
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Horizon Investment Portfolio Analyst is an Investment Portfolio Manager for Windows. It calculates profit, periodic total return, cumulative total return, average annual total return, internal rate of return (IRR), capital gain, buy/sell prices, an..
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This program is a version of a form that will assist you in tracking the fundamentals of your stock portfolio. It will run under Win 95, 98, Me, NT4, XP & 2000.
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Tool to follow the stock market using Point and Figure charts. Get a full set of updated Point and Figure charts every day in your mailbox and select easily which stock to buy and sell with the new Buy the Winner view. Comes with build in portfolio.
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Apply the Markowitz Theory and CAPM to construct the optimal portfolio with/without asset weight constraints with respect to the risk, return or investors utility function. Also Performance Eval, interpolation, analysis of Efficient Frontier and CML.
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Apply the Markowitz Theory and CAPM to construct the optimal portfolio with/without asset weight constraints with respect to the risk, return or investors utility function. Also Performance Eval, interpolation, analysis of Efficient Frontier and CML.
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