Kamis, 28 April 2011

[P816.Ebook] Ebook Free Formative Assessment for Literacy, Grades K-6: Building Reading and Academic Language Skills Across the CurriculumFrom Corwin

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Formative Assessment for Literacy, Grades K-6: Building Reading and Academic Language Skills Across the CurriculumFrom Corwin

Grounded in research and practice, this resource shows elementary teachers how to use formative assessment to build students' language and literacy skills across the curriculum.

  • Sales Rank: #989564 in Books
  • Brand: Corwin
  • Published on: 2008-03-13
  • Original language: English
  • Number of items: 1
  • Dimensions: 10.00" h x .48" w x 7.01" l, 3.00 pounds
  • Binding: Paperback
  • 224 pages
Features
  • Implement different kind of formative literacy assessments such as observations, planned-for interactions,
  • Interpret the evidence gathered from formative assessments
  • Develop a comprehensive system for assessing students
  • Collaborate with colleagues, instructional leaders, and principals to build a culture that supports
  • Title - Formative Assessment for Literacy, Grades K-6

Review
"The book is based on the best research on reading and language development and gives readers an opportunity to see nationally renowned experts’ advice in their own words. But rather than a dreary summary of research findings, this book brings the knowledge to life by providing detailed descriptions and illustrations of the practical implications for classroom teaching. Just as teachers slowly and surely lead their children to becoming proficient readers, this book provides scaffolding and a suggested system of schoolwide support for teachers to develop their skills as reading teachers." (From the Foreword by Deborah Stipek 2007-09-17)

"This book presents an easy-to-understand approach to a complex skill by employing accessible concepts and a research-based conception of classroom assessment. For today’s and tomorrow’s elementary teachers, this book is mandatory reading!" (W. James Popham, Emeritus Professor 2007-12-11)

"Bailey and Heritage draw on a wealth of relevant research and their own work in classrooms to offer practice-oriented guidelines for ongoing assessment of children’s developing academic language literacy. They present clear definitions of concepts and constructs and clearly illustrate how formative assessment can be integrated into everyday instruction. The extended dialogues show how teachers can engage children in examining and talking about their own language development." (Mary J. Schleppegrell, Professor of Education 2007-12-20)

“In this important, readable, and practical book, Bailey and Heritage take us beyond what the research says to a clear set of principles for formative assessment in the language arts classroom. Everyone interested in improving reading and writing in our schools should read this book.” (Dylan Wiliam, Deputy Director 2008-02-19)

About the Author
Alison Bailey is an associate professor in the Psychological Studies in Education Program of the Department of Education at the University of California, Los Angeles, in addition to being a faculty associate researcher for the National Center for Research on Evaluation, Standards and Student Testing (CRESST). A graduate of Harvard University, Bailey’s research focuses primarily on language and literacy development, English language development in second language learners, and language assessment. At CRESST, her work focuses on researching the empirical basis of academic language for assessment, curriculum, and teacher professional development. Bailey serves on the advisory boards of numerous states and commercial publishers developing language and literacy assessments for English Language Learners. She is coauthor of the new IPT assessment of English language development at the prekindergarten-kindergarten level, editor and contributing author to The Language Demands of School: Putting academic English to the test (Yale Press, 2007), and coeditor and author (with Allyssa McCabe and Gigliana Melzi) of Spanish-Language Narration and Literacy Development (Cambridge University Press, forthcoming, 2008).

Margaret Heritage is Assistant Director for Professional Development at the National Center for Research on Evaluation, Standards and Student Testing (CRESST) at UCLA, and leads the data use program of the Assessment and Accountability Comprehensive Center.

Prior to joining CRESST, she had many years of teaching and leadership experience in schools in the United Kingdom and the United States, including a period as a County Inspector of Education in the United Kingdom, and as principal at the UCLA laboratory school. She has also taught graduate classes in Education at the Department of Education at the University of Warwick, England, the University of California, Los Angeles, and at Stanford University.

Her current work focuses on data use for school improvement, learning progressions, formative assessment, and teachers’ use of formative assessment evidence.

Margaret Heritage is the co-author (with Alison Bailey) of Formative Assessment for Literacy, Grades K-6: Building Reading and Academic Language Skills Across the Curriculum, published by Corwin Press.

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Kamis, 21 April 2011

[R167.Ebook] Download Ebook Trading Basics: Evolution of a Trader, by Thomas N. Bulkowski

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Trading Basics: Evolution of a Trader, by Thomas N. Bulkowski

Comprehensive coverage of the four major trading styles

Evolution of a Trader explores the four trading styles that people use when learning to trade or invest in the stock market. Often, beginners enter the stock market by:

  • Buying and holding onto a stock (value investing). That works well until the trend ends or a bear market begins. Then they try
  • Position trading. This is the same as buy-and-hold, except the technique sells positions before a significant trend change occurs.
  • Swing trading follows when traders increase their frequency of trading, trying to catch the short-term up and down swings. Finally, people try
  • Day trading by completing their trades in a single day.

This series provides comprehensive coverage of the four trading styles by offering numerous tips, sharing discoveries, and discussing specific trading setups to help you become a successful trader or investor as you journey through each style.

Trading Basics takes an in-depth look at money management, stops, support and resistance, and offers dozens of tips every trader should know.

Fundamental Analysis and Position Trading discusses when to sell a buy-and-hold position, uncovers which fundamentals work best, and uses them to find stocks that become 10-baggers—stocks that climb by 10 times their original value.

Swing and Day Trading reveals methods to time the market swings, including specific trading setups, but it covers the basics as well, such as setting up a home trading office and how much money you can make day trading.

  • Sales Rank: #1091382 in Books
  • Published on: 2012-11-15
  • Original language: English
  • Number of items: 1
  • Dimensions: 9.30" h x .80" w x 6.30" l, .83 pounds
  • Binding: Hardcover
  • 208 pages

Review

“The three books in this series were written for people unfamiliar with the inner workings of the stock market, but will still curl the toes of professionals, too. Research is used to prove the ideas discussed, but is presented in an easy to understand and light-hearted manner. You will find the books to be as entertaining as they are informative and packed with moneymaking tips and ideas. Use the ideas presented here to hone your trading style and improve your success. Whether you are a novice who has never purchased a stock but wants to, or a professional money manager who trades daily, these books are a necessary addition to any market enthusiast’s bookshelf.”
—Alan Battista, Stockineer.com Book Review

From the Inside Flap

How you trade or invest in the stock markets depends on market conditions. Buying and holding on to a stock during a bear market can mean a substantial decline in net worth. Day trading when the markets are soaring can add to stress unnecessarily. Thomas Bulkowski discusses the evolution of a trader from buy-and-hold to position trading, swing trading, and day trading in his hotly anticipated series of how-to guises, Evolution of a Trader.

The first book in the series, Trading Basics, is a practical introduction to the art and science of stock trading. The book discusses money management, a topic so often overlooked in financial works. How do you size a position properly? How many stocks should a portfolio hold for proper diversification? Should you scale into or out of positions? Do dollar-cost-averaging and averaging down works? He answers these questions and more.

Choosing the correct type of stop can mean the difference between success and failure, profit and loss. Learn why stop-loss orders cut profit more than they reduce risk. Sometimes, stops are best left unused because they cash you out of potentially winning trades prematurely.

Bulkowski discusses a half-dozen types of support and resistance, then he measures and compares their effectiveness, If you can determine where a stock is going to reverse because of overhead resistance or underlying support, then the riches on Wall Street can be yours. His research is a gold mine of information waiting to be unearthed.

He discusses forty-five tips that every trader should know. Have you heard of the 2B rule? Or how about trading busted chart patterns? Does divergence in the RSI indicator really work or have today’s markets made it obsolete? Bulkowski offers tips on finding the market direction, determining when the market has bottomed, and over a dozen tips on when to sell.

He wraps it all up by helping you diagnose trading problems. Are you entering or exiting your trades too early or too late? Did you average up? Are you buying out of season?

Bulkowski’s work sets an example of how financial books should be written. He doesn’t just repeat what others have said. Rather, he investigates and researches his facts before teaching the reader in an entertaining and informative style that is accessible to the beginner and the professional. Anyone investing or trading the markets can benefit from this series.

From the Back Cover

The series Evolution of a Trader explores four trading styles that people use when learning to invest in the stock market. Often, beginners enter the stock market by

  • Buying and holding on to a stock. That works well until a bear market begins. Then they try
  • Position trading. This seeks to exit positions before a significant trend change occurs.
  • Swing trading follows when traders try to catch short-term swings. Finally, people try
  • Day trading by completing their trades in a single day.
  • This series takes a detailed look at each of the four styles by offering numerous tips, sharing discoveries, and discussing specific trading techniques to help the reader be successful as they journey through each style.

    The first book, Trading Basics, takes an in-depth look at money management, stops, support, and resistance, and offers dozens of tips every trader should know.

    The second book, Fundamental Analysis and Position trading, explains value investing and tests fundamental factors, such as book value, price-to-earnings, and price-to-sales ratios, to see how important they are to stock selection and performance. Chapters such as “How to Double Your Money,” “finding 10-Baggers,” and “Trading 10-Baggers” put the fundamentals to work. Position trading introduces market timing to help remove the risk of buying and holding a stock for years.

    The third book in the series, Swing and Day Trading, explains how to use chart patterns to swing and day trade. It reviews the basics, including the home office setup and the cost of day trading, and drills down into specific trading strategies such as the opening range breakout and the opening gap setup. It introduces new research on major reversal times and the time most likely to set the day’s high and low. That is valuable information to a day trader.

    Whether you are a novice who has never purchased a stock but wants to, or a professional money manager, these books are a necessary addition to any market enthusiast’s bookshelf.

    Most helpful customer reviews

    14 of 15 people found the following review helpful.
    Great Introduction to Technical Trading
    By Alan Battista
    This review comes from stockineer.com which is why I wrote the review initially. It's worth sharing here as well to help others make their decision on the purchase of the book, so if the review sounds like it was written for another site, it was...just copied and pasted here.

    Intended Audience (from the author):

    "The three books in this series were written for people unfamiliar with the inner workings of the stock market, but will still curl the toes of professionals, too. Research is used to prove the ideas discussed, but is presented in an easy to understand and light-hearted manner. You will find the books to be as entertaining as they are informative and packed with moneymaking tips and ideas. Use the ideas presented here to hone your trading style and improve your success. Whether you are a novice who has never purchased a stock but wants to, or a professional money manager who trades daily, these books are a necessary addition to any market enthusiast's bookshelf."

    Preface:

    The preface describes a flailing trader trying to find his way in the world of investing, looking for the style that suits him best. He fails a few times but he eventually figures out what kind of trader he'd like to become. The intro reminds me a lot of an article I'd written several weeks ago: What Type of Investor are You? In fact, Trading Basics takes these concepts and makes an entire book out of it, going into a lot more detail than I could on a multi-page article.

    Chapter 1

    Tom shares his secrets to retiring at age 36. Well, his secrets are things that a lot of us bred on hard work already know. Things like saving your money, charting your finances and making wise decisions are big parts of the equation. A little luck here and there will set you on your way. A lot of successful investors have hit a grand slam or two in their day that really gives them the capital to grow faster. Tom shares his personal story and philosophy with Michaels Stores. I've personally had some big trades, the best being General Growth Properties that instantly (see years) created a portfolio of sufficient size to make some real money. Couple this luck with hard work and wise decision making, and you have a winning recipe.

    Chapter 2

    This chapter focuses on money management principles, specifically risk assessment, position size, cost averaging, leverage and the number of stocks to hold to name a few. Bulkowski offers examples with real numbers to support his position on each of the sub topics. I found myself skimming through some of the examples, taking his word, and not checking his math. For the average reader, his charts and summaries will get you to what you need to know. The chapter, as intended, is written to give good "rules of thumb" for investors that are just beginning to understand the market. More seasoned traders will point out exceptions to each "rule of thumb," but it is because they practice different trading tactics depending on the situation. Bulkowski points this out as different trading styles (Evolution of a Trader)) is the overarching theme. In the end, Bulkowski makes suggestions but leaves it up to the individual trader to pick his own method.

    I did pick up a few new things myself. I specifically was interested in how some stop and buy orders are filled and at what prices.

    Chapter 3

    Everyone who invests in stocks needs to know when to cut losses and move on. New investors hear the old adage, "you only lose money when you sell" and they tend to let small losses become big losses. Bulkowski does the math and points out that if you lose 50% in a stock, it'll need to rise 100% to make your money back...for a 75% loss, it'll need to go up 300% to break even. Of course that's motherhood and apple pie, but the point is that the more you lose, the harder it is to come back from it....so don't lose money! The chapter focuses on how to not lose money while still gaining money through the use of stops. There are lots of stop types that are introduced here, all of which can be researched or found in other books, but in typical Tom fashion, he applies statistics to each type of stop and associates performances of each to back up his points. In the end, he makes recommendations but essentially leaves it up to the trader to pick his own path to fit his personality and investing style.

    Chapter 4

    Support and resistance, in my mind, is really the foundation of trading stocks. There are more likely locations that you should buy or sell, but how likely? Bulkowski offers well known types of support and resistance, but he takes it a step further and offers statistics and percentages of the likelihood of their effectiveness. This is something I haven't seen in any other book, making this a rather unique and valuable chapter. I found myself rereading sections multiple times to make sure I understood the point, reminiscent of looking over figures and numbers in my years of education. I am thankful that there are summaries and a final table at the end of the chapter to give me the key takeaways so that every time I wish to reference the material, I have a single page to study. The table then lays out the pages you can look for more information. The support and resistance levels discussed in this chapter are a cursory look at the concepts and are appropriate for the intended audience of the book. There are several books devoted to the subject if/when you decide to dig deeper into trading.

    Chapter 5

    This chapter is the largest of the book, containing "45 Tips Every Trader Should Know." This chapter introduces concepts that most beginning traders do not know and will likely spend some time rereading paragraphs over and over, cross referencing the charts and tables to ensure they get the point...or at least they should. A lot of it may be confusing at first and you may have to do some additional research on each topic so that you can interpret a physical reason for the chart squiggles, but there are footnotes where you can find more information on the subjects. After all, this is an introductory book, not a full reference set. It is, however, a great place to get started. After some time trading, these become second nature and you take them for granted, but I did pick up a thing or two as well as reminded me of things I'd forgotten or don't use on a regular basis. Some of the items discussed were divergences, Fibonacci numbers, failure swings, price gaps, pattern sizes, etc.. In standard Bulkowski fashion, he applies statistics to the "tips" and comes up with effectiveness and a recommendation. While I find the statistics useful, I also understand the large challenge presented to Tom in coming up with these statistics. Most ideas tested are a result of programming which will identify the desired situation, but it will likely ignore the art of technical trading which is putting multiple pieces of evidence together to enter or exit a trade, including the type of market, indicators, events, etc.. He does present the information for bull vs bear markets, wide patterns vs narrow patterns as well as many other situations, so he's not ignoring the additional factors. I just want to further point out to traders looking to learn the art of technical trading that we are aiming to gather lots of evidence to recreate the crime scene. As you read all 45 tips, consider each one a piece of evidence that you should remember. When the weight of the evidence is in your favor, do not be afraid to make the trade. As you trade, you will see the items presented in this chapter and it will be at that point when you truly begin to understand. There is no replacement for practice.

    Chapter 6

    When trades go wrong it is in your best interest to assess what went wrong. Did you enter too early, too late? Did you misread the signs. Chapter 6 identifies what could go wrong and how you can correct it.

    Chapter 7

    This is a final checklist from each chapter. It is a nice final summary or a location that you can use for a quick reference to double check that you didn't miss anything in your analysis.

    Final Summary:

    This is a good selection as a first read if you are trying to get into technical trading. It is a book that can grow with you for some time, but you will eventually need to do further, deeper research on individual topics to really understand the tactics and become proficient. That said, you need a place to learn what you need to research and how it can help you, presenting the information in a concise manner. This book addresses this need, and I enjoyed the book. It's very approachable and easy to read, and should be under consideration if you are looking to get into technical trading or are looking for something to quickly remind you of what you should be doing!

    4 of 4 people found the following review helpful.
    Great education in the stock market
    By Chen Roth
    This book introduces you to the paradigms of intelligent trading, to name a few:

    * money management
    * stop placement
    * support & resistance levels
    * recurring patterns of the market backed by statistical research
    * entry & exit timing
    * market trend & stock trend relationship

    Having read a few books by this market veteran author, I find his books distinguished from the rest by a single, crucial aspect:

    Thomas conducts and discusses his own research, methods and tools of many years, which he courteously shares with the reader both in his books and at his website (just google his name!)

    2 of 2 people found the following review helpful.
    Delighted by New Research-based Investing Information
    By Charlotte Hudgin
    Bulkowski’s Trading Basics review

    Bulkowski’s Trading Basics is the FIRST investing book I have read that cleanly backs its statements with FACTS from the author’s ORIGINAL RESEARCH. I was excited to discover many ideas I have not found elsewhere. If you are a serious trader, you will be pleased to get your hands on the tables and charts in this book.

    Do not let the title, Trading Basics, fool you. If you have never researched a stock, read a chart or placed a trade, there are plenty of good beginners’ books but this book is so much more. If a beginner asks how to make money in stocks, let them read the short chapter 1: Bulkowski’s personal story of “How to Retire at 36.” It will inspire and challenge them.

    If you are serious investor, intent on always improving your stock investing with information that is research-based (and not a blind repeat of common “truths’”), then you will be surprised, delighted and probably shocked by some of the findings in this book.

    After 13 years of trading, I am now in the process of incorporating a new layer of investing fact-based rules from this book into my investing plan.

    A FEW OF THE MANY TOPICS BULKOWSKI COVERS I HAVE NOT FOUND ELSEWHERE:
    • How much money does it take to get started investing – guidelines and justifications for a safe starting investment for each type of investor (position, swing, trend or day traders)?
    • A unique position-sizing algorithm that takes into account volatility of both the stock and the market.
    • Managing a position based on both stock performance and market rend
    • What is the optimal period to hold a stock?
    • How many stocks should be held adjusted for trading style?
    • Analysis of how nine variations of stops (such as fixed percentage, volatility, chandelier, average true range, and top stop exit) perform including average loss, hold time, percent stopped out, win/loss percent and profit/risk change.
    • AND MY FAVORITE: a whole myth-busting chapter on the effectiveness (and ineffectiveness) of twelve types of support and resistance.
    • Each chapter ends with a CHAPTER CHECKLIST of key points and lessons to emphasize the most valuable information.

    The book has many tables with the results of Bulkowski’s statistical research, extensively annotated charts of actual stocks showing the concepts in practice, and critical formulas every trader should know. If you are serious about making money in the stock market, buy this book.

    See all 14 customer reviews...

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    Selasa, 12 April 2011

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    • Sales Rank: #1671094 in eBooks
    • Published on: 2012-07-12
    • Released on: 2013-05-01
    • Format: Kindle eBook

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    Many embedded engineers and programmers who need to implement basic process or motion control as part of a product design do not have formal training or experience in control system theory. Although some projects require advanced and very sophisticated control systems expertise, the majority of embedded control problems can be solved without resorting to heavy math and complicated control theory. However, existing texts on the subject are highly mathematical and theoretical and do not offer practical examples for embedded designers. This book is different;it presents mathematical background with sufficient rigor for an engineering text, but it concentrates on providing practical application examples that can be used to design working systems, without needing to fully understand the math and high-level theory operating behind the scenes. The author, an engineer with many years of experience in the application of control system theory to embedded designs, offers a concise presentation of the basics of control theory as it pertains to an embedded environment.

    * Practical, down-to-earth guide teaches engineers to apply practical control theorems without needing to employ rigorous math
    * Covers the latest concepts in control systems with embedded digital controllers
    * The accompanying companion website contains source code and real-world application examples to help users create fully working systems

    • Sales Rank: #1702991 in eBooks
    • Published on: 2011-03-31
    • Released on: 2011-03-31
    • Format: Kindle eBook
    • Number of items: 1

    Most helpful customer reviews

    7 of 8 people found the following review helpful.
    For the working engineer with an occasional control system
    By Amazon Customer
    Applied Control Theory is, first and foremost, not a substitute for years of formal education about control systems. With that out of the way, it's a very solid primer/reference for those of us who aren't control engineers, but have occasional control problems that need analysis. It's pretty light on math and formal proofs; you break it out when you've got a problem and a deadline and need to wrap it up so that you can get to the 15 other things on your open issues list.

    In part, it's a book length expansion of Wescott's earlier article, PID without a Ph.D, available at [...] . If you like his writing there, you'll like it here.

    It's a good reference for engineers who know it but need to occasionally brush back up. It's a good learning guide for programmers who don't know engineering but find themselves suddenly expected to do control theory. It is, however, a lousy book for an engineer to lend to one of his programmers; they tend to scarper off with it, and then you don't have your copy anymore.

    1 of 1 people found the following review helpful.
    Good theory (maybe) but not very complete (not enough (any?) detailed software examples)
    By Eric Buell
    Seemed a bit fast paced with the math (I made it through ordinary differential equations in college), but generally well presented. My main beef is that there are few real world examples with any level of detail. And, although "The Companion Website" is touted here, in the book, on the Author's website, and the publisher's website, no URL could be found. And, when following the "resources" link on the publisher's site I found "Online content is coming soon"... for a book published in 2006. The code examples are few and play loosely with variable types in C. His self defined data type, fr_type, is mixed with ints in several places. The reason this matters is that fr_types (which are also ints at their core) are scaled very differently than a simple int, and he doesn't provide any complete example of how the functions that mix these types are used (most importantly the function sat_mul()). And, in fact, at least one of the code examples (for the function PID_update()) is broken by inspection, and was clearly never compiled (ie. reference is made to p->_state, and p has no member with this name). Kinda leaves you hanging. I guess, bottom line, I would have been hesitant about using the word "Applied" in the title. PS. Be sure to download the Errata sheet from the publisher's web site as there are quite a fair number of errors in the book.

    2 of 3 people found the following review helpful.
    Great practical guide to control systems.
    By Jerry P.
    I have had a long career as an electronics engineer working on projects such as the Voyager space exploration project, the Space Shuttle, and various aircraft and missile systems. I found the practical viewpoint approach in this book to be very well done. It is a great refresher in control theory if you have been away from it for a while and a great introduction if you haven't been exposed to it before. It is not an exhaustive treatment of the theory but a great way to understand the basics enough to tackle a microcomputer implementation of a control system and be able to analyze its behavior. It is not heavy on the math but does require at least some knowledge of calculus and differential equations. I have always found practical books such as these much more useful than purely theoretical ones for actually getting things done and I am glad to have found this one. Well done! I've had this book for years but was negligent in reviewing it - shame on me.

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    Unconventional Investing Equals Unconventional Financial Benefits. In today’s NEW ECONOMY investors that settle for only conventional investing unfortunately are also settling for conventional returns and financial benefits which puts them further and further behind in reaching their financial goals. In Getting Rich in Real Estate Partnerships former bank owner and Board of Director member Darin R. Garman shows investors how they can strategically use low risk real estate investments as one of the tools in their wealth building tool box that can assist them in reaching their financial goals sooner than expected and be able to do this passively. Through his experience as a former bank owner and real estate investment manager working with hundreds of investors from across the U.S. going on 25 years, Darin demonstrates how many investors can actively own cash flowing and appreciating investment real estate properties without being involved in the day to day management or being a landlord, thereby tapping into one of the best wealth and income investments available today. The good news for investors is that one does not have to have any knowledge or experience as an investment real estate owner in order to profit from one of the best investment vehicles available today and Darin shows you how you can incorporate real estate partnerships into your investment portfolio. Whether an investor uses their regular money or IRA/401(k) dollars it is not too late to get the kind of returns and income investors want and deserve. In today’s NEW ECONOMY an investment that is immune to most political and global events as well as an investment that will always be in demand by the general public is giving real estate partnership investors better and more predictable returns.

    • Sales Rank: #1245980 in Books
    • Published on: 2015-12-17
    • Original language: English
    • Dimensions: 9.00" h x .20" w x 6.00" l,
    • Binding: Paperback
    • 88 pages

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    Darin Garman is a former bank owner, board of director member and known as “The Paranoid Banker” because of his investing philosophy. Darin also has over 25 years in handling over half a billion dollars in investment real estate transactions, manages multiple real estate partnerships that include hundreds of investors from all over the US and outside the US. Darin Garman is currently manager of Heartland Investment Partners (HIP). Darin started Heartland Investment Partners because of continually being approached by investors asking for ways to invest, conservatively, in great investment real estate properties while being passive and not wanting to deal with any day to day property management or even deal with management companies for that matter. Heartland Investment Partners’ years of knowledge and experience provides a way for conservative investors seeking higher yields and diversification in their investment portfolios to invest right along with the Paranoid Banker in high quality real estate investment focused in Heartland of America.

    Most helpful customer reviews

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    By M Sojka
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    0 of 0 people found the following review helpful.
    "not a source of legal, regulatory, compliance, or accounting information" page 86 paragraph 3.
    By x
    Well, I should have read page 86 first "not a source of legal, regulatory, compliance, or accounting information" because my initial reaction to the book was disappointment. It is a short read, but if you want to find the answer to a specific question, you may have to search. For example, if you want to know what the author thinks is a good loan to value ratio (if the LP borrows too much it may not have enough cash flow to weather a downturn to pay the bank, and by the way, the author's suggestion is appropriately conservative so you may have trouble finding LPs that use that ratio), you can find it on page 32, but there is no index. If you are an experienced investor (and therefore don't need the book ) you will guess that it is in a chapter titled "Postive Leverage and Low Risk Financing". Otherwise, you may not know where to look or even if too look. On the plus side, chapter 12, "Where to Find a Good Partnership to Invest In" offer reasonable advice to a new investor and perhaps the book is worth its modest price for that chapter.

    I am looking for practical and detailed information on investing in real estate LPs such as how to evaluate the properties, how to read and understand the LP agreements, what to look for in an LP agreement such as traps that benefit the general partner at the expense of the limited partner, a significant discussion on the obligation or not to distribute to cover taxes, how to analyze the proforma such as understand real estate accounting, cash flow, ROI, etc. Who, based on ones tax situation, best benefits from investing in LPs? What happens if NOI goes negative? What is a good CAP ratio; what are good ratios in general? What is a good strategy for choosing a property, fix up and increase rent? What demographics does one look for in the community? Location? Property taxes, cost of utilities? Who will manage the property, the GPs or will they outsource and if so to which company? Who will maintain the property? What degree of liability insurance will the partnership carry to protect the equity from unfortunate events? How do you know if the deal is too expensive or reasonably priced? How much equity should partners contribute relative to the bank loan? How much equity should the general partners contribute? If they don't have skin in the game should you? What loan rate, say relative to prime, is acceptable, etc? In other words, how does one know if the bank thinks it is risky? How does an limited partner evaluate their risk? In short, how does an investor make an informed decision? If the deal goes belly up, what can you expect? What should you do, and will you see a dime of your money? I didn't find enough of the answers or advice I seek, but having learned that the book is "not a source of legal, regulatory, compliance, or accounting information" and because I am not clairvoyant, that should be no surprise. I wish I could suggest a better alternative.

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