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Trading risk

Kenneth L. Grant

2004258 pagesabout 4–6 hours
2004
first published
  • 2004Wiley & Sons, Incorporated, John · ENGISBN 9781280265280
  • 2004Wiley · 258 pages · ENGISBN 9780471650911
  • 2004Wiley & Sons, Incorporated, John · 302 pages · ENGISBN 9780471691563
  • 2007Wiley & Sons, Incorporated, John · 272 pages · ENGISBN 9780470251966
  • 2011Wiley & Sons, Incorporated, John · 272 pages · ENGISBN 9781118045824

"Kenneth Grant has managed portfolio risk for several of the world's most elite, successful hedge funds. Now, he shares his trade secrets, showing how the aggressive trading that is the signature of leading hedge funds can be applied by traders at all levels without excessive risk. Trading Risk offers revolutionary yet practical techniques for real-world traders, not superficial theories or complex quantitative formulas. Grant's proven scientific strategies are presented in accessible language any trader can understand - and put into practice." "Trading Risk demonstrates that traders virtually always have control over their portfolios and that risk can be managed even during the worst market crises - from Enron to the tech bust. With this book in hand, you'll be able to devise and execute a customized risk management strategy. Whatever type or level of trader you are, Trading Risk offers the key to dynamic investing that doesn't leave your assets out of control."--BOOK JACKET.

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