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 managementIncludes an
overview of the techniques and tools professionals use to control
riskShows how to transfer risk to maximize resultsWritten 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.
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