Risk Management in Trading

Risk Management in Trading

Author: Davis Edwards

Publisher: John Wiley & Sons

Published: 2014-06-30

Total Pages: 323

ISBN-13: 1118768582

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A comprehensive resource for understanding how to minimize risk and increase profits In this accessible resource, Wall Street trader and quantitative analyst Davis W. Edwards offers a definitive guide for nonprofessionals which describes the techniques and strategies seasoned traders use when making decisions. Risk Management in Trading includes an introduction to hedge fund and proprietary trading desks and offers an in-depth exploration on the topic of risk avoidance and acceptance. Throughout the book Edwards explores the finer points of financial risk management, shows how to decipher the jargon of professional risk-managers, and reveals how non-quantitative managers avoid risk management pitfalls. Avoiding risk is a strategic decision and the author shows how to adopt a consistent framework for risk that compares one type of risk to another. Edwards also stresses the fact that any trading decision that isn't based on the goal of maximizing profits is a decision that should be strongly scrutinized. He also explains that being familiar with all the details of a transaction is vital for making the right investment decision. Offers a comprehensive resource for understanding financial risk management Includes an overview of the techniques and tools professionals use to control risk Shows how to transfer risk to maximize results Written by Davis W. Edwards, a senior manager in Deloitte's Energy Derivatives Pricing Center Risk Management in Trading gives investors a hands-on guide to the strategies and techniques professionals rely on to minimize risk and maximize profits.


Book Synopsis Risk Management in Trading by : Davis Edwards

Download or read book Risk Management in Trading written by Davis Edwards and published by John Wiley & Sons. This book was released on 2014-06-30 with total page 323 pages. Available in PDF, EPUB and Kindle. Book excerpt: A comprehensive resource for understanding how to minimize risk and increase profits In this accessible resource, Wall Street trader and quantitative analyst Davis W. Edwards offers a definitive guide for nonprofessionals which describes the techniques and strategies seasoned traders use when making decisions. Risk Management in Trading includes an introduction to hedge fund and proprietary trading desks and offers an in-depth exploration on the topic of risk avoidance and acceptance. Throughout the book Edwards explores the finer points of financial risk management, shows how to decipher the jargon of professional risk-managers, and reveals how non-quantitative managers avoid risk management pitfalls. Avoiding risk is a strategic decision and the author shows how to adopt a consistent framework for risk that compares one type of risk to another. Edwards also stresses the fact that any trading decision that isn't based on the goal of maximizing profits is a decision that should be strongly scrutinized. He also explains that being familiar with all the details of a transaction is vital for making the right investment decision. Offers a comprehensive resource for understanding financial risk management Includes an overview of the techniques and tools professionals use to control risk Shows how to transfer risk to maximize results Written by Davis W. Edwards, a senior manager in Deloitte's Energy Derivatives Pricing Center Risk Management in Trading gives investors a hands-on guide to the strategies and techniques professionals rely on to minimize risk and maximize profits.


Options

Options

Author: Simon Vine

Publisher: John Wiley & Sons

Published: 2011-08-24

Total Pages: 271

ISBN-13: 1118160967

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The key concepts and essential strategies behind the successful use of options Written by Simon Vine, a seasoned trader who has over ten years of experience on Wall Street under his belt, Options is the definitive book on options for traders, investors, and risk professionals. Options provides a step-by-step approach to trading, hedging, and investing using options, and shares the key concepts essential to successful options use. Options also explores how to use a wide variety of options strategies and shows readers how to select the strategy that best fits their own psychological risk profile. Filled with real-world examples and proven strategies, this invaluable resource will be of interest to all professionals-and newcomers-who'd like to exploit options for strategic advantage, risk management, or profit. Simon Vine (Moscow, Russia) is deputy head of the investment banking division at Alfa Bank, the largest private financial institution in Russia. He holds an MBA from Columbia Business School and a BA from the Institute for Finance and Economics in Moscow.


Book Synopsis Options by : Simon Vine

Download or read book Options written by Simon Vine and published by John Wiley & Sons. This book was released on 2011-08-24 with total page 271 pages. Available in PDF, EPUB and Kindle. Book excerpt: The key concepts and essential strategies behind the successful use of options Written by Simon Vine, a seasoned trader who has over ten years of experience on Wall Street under his belt, Options is the definitive book on options for traders, investors, and risk professionals. Options provides a step-by-step approach to trading, hedging, and investing using options, and shares the key concepts essential to successful options use. Options also explores how to use a wide variety of options strategies and shows readers how to select the strategy that best fits their own psychological risk profile. Filled with real-world examples and proven strategies, this invaluable resource will be of interest to all professionals-and newcomers-who'd like to exploit options for strategic advantage, risk management, or profit. Simon Vine (Moscow, Russia) is deputy head of the investment banking division at Alfa Bank, the largest private financial institution in Russia. He holds an MBA from Columbia Business School and a BA from the Institute for Finance and Economics in Moscow.


Trading Risk

Trading Risk

Author: Kenneth L. Grant

Publisher: John Wiley & Sons

Published: 2011-01-19

Total Pages: 277

ISBN-13: 1118045823

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Revolutionary techniques that traders can implement to improve profits and avoid losses No trader, professional or individual, can afford not to have a solid risk management program integrated into his or her trading system. But finding a precise mathematical model to replace subjective decision-making processes is a challenge. Traditionally, risk management has focused solely on loss avoidance, but in Trading Risk, hedge fund risk manager Kenneth Grant presents some-thing completely new—how to manage a portfolio to minimize risk and increase profits by putting more capital at risk. Trading Risk details a risk management program that can help both money managers and individual traders evaluate which elements in a portfolio are working efficiently and which aren’t. By illustrating an extremely simple set of statistical and arithmetic tools this book can help readers enhance their performance in many financial markets. Kenneth L.Grant is Cheyne’s Global Risk Manager, and is the Managing Member for Cheyne Capital, LLC, the firm’s U.S. arm. Mr. Grant is a pioneer in the field of hedge fund risk management and capital allocation. Before joining Cheyne, he created risk control programs at two of the world’s leading hedge funds, Tudor Investments and SAC Capital, where he was eventually promoted to the title of Chief Investment Strategist. Mr. Grant holds a Bachelor of Science in Economics and Mathematics from the University of Wisconsin, an MA in Economics from Columbia University, and an MBA from the University of Chicago Graduate School of Business.


Book Synopsis Trading Risk by : Kenneth L. Grant

Download or read book Trading Risk written by Kenneth L. Grant and published by John Wiley & Sons. This book was released on 2011-01-19 with total page 277 pages. Available in PDF, EPUB and Kindle. Book excerpt: Revolutionary techniques that traders can implement to improve profits and avoid losses No trader, professional or individual, can afford not to have a solid risk management program integrated into his or her trading system. But finding a precise mathematical model to replace subjective decision-making processes is a challenge. Traditionally, risk management has focused solely on loss avoidance, but in Trading Risk, hedge fund risk manager Kenneth Grant presents some-thing completely new—how to manage a portfolio to minimize risk and increase profits by putting more capital at risk. Trading Risk details a risk management program that can help both money managers and individual traders evaluate which elements in a portfolio are working efficiently and which aren’t. By illustrating an extremely simple set of statistical and arithmetic tools this book can help readers enhance their performance in many financial markets. Kenneth L.Grant is Cheyne’s Global Risk Manager, and is the Managing Member for Cheyne Capital, LLC, the firm’s U.S. arm. Mr. Grant is a pioneer in the field of hedge fund risk management and capital allocation. Before joining Cheyne, he created risk control programs at two of the world’s leading hedge funds, Tudor Investments and SAC Capital, where he was eventually promoted to the title of Chief Investment Strategist. Mr. Grant holds a Bachelor of Science in Economics and Mathematics from the University of Wisconsin, an MA in Economics from Columbia University, and an MBA from the University of Chicago Graduate School of Business.


The Risk of Trading

The Risk of Trading

Author: Michael Toma

Publisher: John Wiley & Sons

Published: 2012-03-23

Total Pages: 224

ISBN-13: 1118237102

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Develop the skills to manage risk in the high-stakes world of financial speculation The Risk of Trading is a practical resource that takes an in-depth look at one of the most challenging factors of trading—risk management. The book puts a magnifying glass on the issue of risk, something that every trader needs to understand in order to be successful. Most traders look at risk in terms of a "stop-loss" that enables them to exit a losing trade quickly. In The Risk of Trading, Michael Toma explains that risk is ever-present in every aspect of trading and advocates that traders adopt a more comprehensive view of risk that encompasses the strategic trading plan, account size, drawdowns, maximum possible losses, psychological capital, and crisis management. Shows how to conduct a detailed statistical analysis of an individual's trading methodology through back-testing and real-time results so as to identify when the methodology may be breaking down in actual trading Reveals why traders should think of themselves as project managers who are strategically managing risk The book is based on the author's unique 'focus on the risk' approach to trading using data-driven risk statistical analytics Using this book as a guide, traders can operate more as business managers and learn how to avoid market-busting losses while achieving consistently good results.


Book Synopsis The Risk of Trading by : Michael Toma

Download or read book The Risk of Trading written by Michael Toma and published by John Wiley & Sons. This book was released on 2012-03-23 with total page 224 pages. Available in PDF, EPUB and Kindle. Book excerpt: Develop the skills to manage risk in the high-stakes world of financial speculation The Risk of Trading is a practical resource that takes an in-depth look at one of the most challenging factors of trading—risk management. The book puts a magnifying glass on the issue of risk, something that every trader needs to understand in order to be successful. Most traders look at risk in terms of a "stop-loss" that enables them to exit a losing trade quickly. In The Risk of Trading, Michael Toma explains that risk is ever-present in every aspect of trading and advocates that traders adopt a more comprehensive view of risk that encompasses the strategic trading plan, account size, drawdowns, maximum possible losses, psychological capital, and crisis management. Shows how to conduct a detailed statistical analysis of an individual's trading methodology through back-testing and real-time results so as to identify when the methodology may be breaking down in actual trading Reveals why traders should think of themselves as project managers who are strategically managing risk The book is based on the author's unique 'focus on the risk' approach to trading using data-driven risk statistical analytics Using this book as a guide, traders can operate more as business managers and learn how to avoid market-busting losses while achieving consistently good results.


The Ultimate Trading Risk Management Guide

The Ultimate Trading Risk Management Guide

Author: Holly Burns

Publisher: Independently Published

Published: 2019-02-16

Total Pages: 84

ISBN-13: 9781797050423

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The best trades usually reward you by showing that the trade will be a winner from the start. The worst trades usually go against you immediately, and this is especially true for traders on shorter time frames. The only reason to trade is in the pursuit of profits. If you're not making money in a system over a long period of time, what's the point?Are you ready to learn some of the best risk management strategies in trading? Join thousands of other traders and learn from Steve Burns from New Trader U, with more than 25 years of trading success.In this book you'll learn the importance of risk management and how you can't survive without it!


Book Synopsis The Ultimate Trading Risk Management Guide by : Holly Burns

Download or read book The Ultimate Trading Risk Management Guide written by Holly Burns and published by Independently Published. This book was released on 2019-02-16 with total page 84 pages. Available in PDF, EPUB and Kindle. Book excerpt: The best trades usually reward you by showing that the trade will be a winner from the start. The worst trades usually go against you immediately, and this is especially true for traders on shorter time frames. The only reason to trade is in the pursuit of profits. If you're not making money in a system over a long period of time, what's the point?Are you ready to learn some of the best risk management strategies in trading? Join thousands of other traders and learn from Steve Burns from New Trader U, with more than 25 years of trading success.In this book you'll learn the importance of risk management and how you can't survive without it!


Risk and Money Management for Day and Swing Trading

Risk and Money Management for Day and Swing Trading

Author: Wieland Arlt

Publisher: Torero Traders School

Published: 2021-10-31

Total Pages: 134

ISBN-13: 3982177618

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Make your trading success predictable! Professional risk and money management is indispensable for every trader in order to improve trading results permanently and sustainably. In the heat of the moment, this is often neglected. Wieland Arlt outlines simple methods that can be implemented in practice with little effort to improve your day and swing trading. He explains different concepts for various trading styles, so that short- and medium-term oriented traders are individually accompanied from the planning of a trade to the choice of the appropriate financial market. Wieland Arlt gives practical advice and demonstrates that professional risk and money management make trading success predictable.


Book Synopsis Risk and Money Management for Day and Swing Trading by : Wieland Arlt

Download or read book Risk and Money Management for Day and Swing Trading written by Wieland Arlt and published by Torero Traders School. This book was released on 2021-10-31 with total page 134 pages. Available in PDF, EPUB and Kindle. Book excerpt: Make your trading success predictable! Professional risk and money management is indispensable for every trader in order to improve trading results permanently and sustainably. In the heat of the moment, this is often neglected. Wieland Arlt outlines simple methods that can be implemented in practice with little effort to improve your day and swing trading. He explains different concepts for various trading styles, so that short- and medium-term oriented traders are individually accompanied from the planning of a trade to the choice of the appropriate financial market. Wieland Arlt gives practical advice and demonstrates that professional risk and money management make trading success predictable.


Energy Trading and Risk Management

Energy Trading and Risk Management

Author: Iris Marie Mack

Publisher: John Wiley & Sons

Published: 2014-04-07

Total Pages: 309

ISBN-13: 1118339347

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A comprehensive overview of trading and risk management in the energy markets Energy Trading and Risk Management provides a comprehensive overview of global energy markets from one of the foremost authorities on energy derivatives and quantitative finance. With an approachable writing style, Iris Mack breaks down the three primary applications for energy derivatives markets – Risk Management, Speculation, and Investment Portfolio Diversification – in a way that hedge fund traders, consultants, and energy market participants can apply in their day to day trading activities. Moving from the fundamentals of energy markets through simple and complex derivatives trading, hedging strategies, and industry-specific case studies, Dr. Mack walks readers through energy trading and risk management concepts at an instructive pace, supporting her explanations with real-world examples, illustrations, charts, and precise definitions of important and often-misunderstood terms. From stochastic pricing models for exotic derivatives, to modern portfolio theory (MPT), energy portfolio management (EPM), to case studies dealing specifically with risk management challenges unique to wind and hydro-electric power, the bookguides readers through the complex world of energy trading and risk management to help investors, executives, and energy professionals ensure profitability and optimal risk mitigation in every market climate. Energy Trading and Risk Management is a great resource to help grapple with the very interesting but oftentimes complex issues that arise in energy trading and risk management.


Book Synopsis Energy Trading and Risk Management by : Iris Marie Mack

Download or read book Energy Trading and Risk Management written by Iris Marie Mack and published by John Wiley & Sons. This book was released on 2014-04-07 with total page 309 pages. Available in PDF, EPUB and Kindle. Book excerpt: A comprehensive overview of trading and risk management in the energy markets Energy Trading and Risk Management provides a comprehensive overview of global energy markets from one of the foremost authorities on energy derivatives and quantitative finance. With an approachable writing style, Iris Mack breaks down the three primary applications for energy derivatives markets – Risk Management, Speculation, and Investment Portfolio Diversification – in a way that hedge fund traders, consultants, and energy market participants can apply in their day to day trading activities. Moving from the fundamentals of energy markets through simple and complex derivatives trading, hedging strategies, and industry-specific case studies, Dr. Mack walks readers through energy trading and risk management concepts at an instructive pace, supporting her explanations with real-world examples, illustrations, charts, and precise definitions of important and often-misunderstood terms. From stochastic pricing models for exotic derivatives, to modern portfolio theory (MPT), energy portfolio management (EPM), to case studies dealing specifically with risk management challenges unique to wind and hydro-electric power, the bookguides readers through the complex world of energy trading and risk management to help investors, executives, and energy professionals ensure profitability and optimal risk mitigation in every market climate. Energy Trading and Risk Management is a great resource to help grapple with the very interesting but oftentimes complex issues that arise in energy trading and risk management.


Money Management Strategies for Futures Traders

Money Management Strategies for Futures Traders

Author: Nauzer J. Balsara

Publisher: John Wiley & Sons

Published: 1992-04-16

Total Pages: 286

ISBN-13: 9780471522157

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Distills complex theories for the benefit of the average trader with little or no background in finance or mathematics by offering a wide range of valuable, practical strategies for limiting risk, avoiding catastrophic losses and managing the futures portfolio to maximize profits. Numerous topics are explored including: why most traders lose at the futures game most of the time; why most mechanical trading systems are apt to fail; the probabilistic approach to trading; how to make stop-loss orders work for, rather than against you; the pros and cons of options versus futures trading; and how to limit risk through diversification.


Book Synopsis Money Management Strategies for Futures Traders by : Nauzer J. Balsara

Download or read book Money Management Strategies for Futures Traders written by Nauzer J. Balsara and published by John Wiley & Sons. This book was released on 1992-04-16 with total page 286 pages. Available in PDF, EPUB and Kindle. Book excerpt: Distills complex theories for the benefit of the average trader with little or no background in finance or mathematics by offering a wide range of valuable, practical strategies for limiting risk, avoiding catastrophic losses and managing the futures portfolio to maximize profits. Numerous topics are explored including: why most traders lose at the futures game most of the time; why most mechanical trading systems are apt to fail; the probabilistic approach to trading; how to make stop-loss orders work for, rather than against you; the pros and cons of options versus futures trading; and how to limit risk through diversification.


Risk Management for Forex Trading Beginners

Risk Management for Forex Trading Beginners

Author: J.R. Bosanko

Publisher: Createspace Independent Publishing Platform

Published: 2016

Total Pages: 178

ISBN-13:

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Risk Management for Forex Trading Beginners is for all beginning aspiring investors and traders who are just getting their head around doing the day trading and swing trading business. Everyone has their own ideas of what they think day trading and swing trading are and what it can do for them. Risk Management for Forex Trading Beginners is for people who want to start their own business and become investors and traders in today’s financial markets, but have zero experience and are looking for the best quality information to get them started. The learning curve in this business and it is a business can be long, brutal and very very expensive if you learn the wrong way. Risk Management for Forex Trading Beginners aims to tell you how do study it the right way the first time and greatly reduce the long learning curve. My hope from Risk Management for Forex Trading Beginners is that you understand how important it is to have a competitive edge when putting your hard earned money at risk in the markets. Each day, the wealth from trader accounts is transferred from those without an edge into the accounts of those who have developed that all needed important winning edge. Which one do you want to be? When you are done reading Risk Management for Forex Trading Beginners you will have an excellent basic explanation of what and what not to do before you even study anything or do any kind of education. The information in this book will put you on the fast track to becoming a successful self-directed investor and trader with very little money invested other than the cost of this book, learning it Harvard or Columbia business school would cost one hundred thousand dollars or more.


Book Synopsis Risk Management for Forex Trading Beginners by : J.R. Bosanko

Download or read book Risk Management for Forex Trading Beginners written by J.R. Bosanko and published by Createspace Independent Publishing Platform. This book was released on 2016 with total page 178 pages. Available in PDF, EPUB and Kindle. Book excerpt: Risk Management for Forex Trading Beginners is for all beginning aspiring investors and traders who are just getting their head around doing the day trading and swing trading business. Everyone has their own ideas of what they think day trading and swing trading are and what it can do for them. Risk Management for Forex Trading Beginners is for people who want to start their own business and become investors and traders in today’s financial markets, but have zero experience and are looking for the best quality information to get them started. The learning curve in this business and it is a business can be long, brutal and very very expensive if you learn the wrong way. Risk Management for Forex Trading Beginners aims to tell you how do study it the right way the first time and greatly reduce the long learning curve. My hope from Risk Management for Forex Trading Beginners is that you understand how important it is to have a competitive edge when putting your hard earned money at risk in the markets. Each day, the wealth from trader accounts is transferred from those without an edge into the accounts of those who have developed that all needed important winning edge. Which one do you want to be? When you are done reading Risk Management for Forex Trading Beginners you will have an excellent basic explanation of what and what not to do before you even study anything or do any kind of education. The information in this book will put you on the fast track to becoming a successful self-directed investor and trader with very little money invested other than the cost of this book, learning it Harvard or Columbia business school would cost one hundred thousand dollars or more.


Fixed Income Trading and Risk Management

Fixed Income Trading and Risk Management

Author: Alexander During

Publisher: John Wiley & Sons

Published: 2021-03-22

Total Pages: 469

ISBN-13: 1119756332

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A unique, authoritative, and comprehensive treatment of fixed income markets Fixed Income Trading and Risk Management: The Complete Guide delivers a comprehensive and innovative exposition of fixed income markets. Written by European Central Bank portfolio manager Alexander During, this book takes a practical view of how several different national fixed income markets operate in detail. The book presents common theoretical models but adds a lot of information on the actually observed behavior of real markets. You’ll benefit from the book’s: Fulsome overview of money, credit, and monetary policy Description of cash instruments, inflation-linked debt, and credit claims Analysis of derivative instruments, standard trading strategies, and data analysis In-depth focus on risk management in fixed income markets Perfect for new and junior staff in financial institutions working in sales and trading, risk management, back office operations, and portfolio management positions, Fixed Income Trading and Risk Management also belongs on the bookshelves of research analysts and postgraduate students in finance, economics, or MBA programs.


Book Synopsis Fixed Income Trading and Risk Management by : Alexander During

Download or read book Fixed Income Trading and Risk Management written by Alexander During and published by John Wiley & Sons. This book was released on 2021-03-22 with total page 469 pages. Available in PDF, EPUB and Kindle. Book excerpt: A unique, authoritative, and comprehensive treatment of fixed income markets Fixed Income Trading and Risk Management: The Complete Guide delivers a comprehensive and innovative exposition of fixed income markets. Written by European Central Bank portfolio manager Alexander During, this book takes a practical view of how several different national fixed income markets operate in detail. The book presents common theoretical models but adds a lot of information on the actually observed behavior of real markets. You’ll benefit from the book’s: Fulsome overview of money, credit, and monetary policy Description of cash instruments, inflation-linked debt, and credit claims Analysis of derivative instruments, standard trading strategies, and data analysis In-depth focus on risk management in fixed income markets Perfect for new and junior staff in financial institutions working in sales and trading, risk management, back office operations, and portfolio management positions, Fixed Income Trading and Risk Management also belongs on the bookshelves of research analysts and postgraduate students in finance, economics, or MBA programs.