The Second Leg Down

Strategies for Profiting after a Market Sell-Off
Book Hero Magic crafted this summary to help describe this book. While it's new and still learning, it may not be perfect - your feedback is welcome! Summary
In The Second Leg Down by Hari P. Krishnan, readers are introduced to the nuanced world of financial risk management. The book delves into the complexities of tail risk hedging, providing insights into creating viable investment strategies that protect against severe market downturns. Through informative analysis and practical examples, it equips finance professionals with the tools to manage and mitigate extreme financial risks effectively.
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Format: Hardback
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Book Hero Magic created this recommendation. While it's new and still learning, it may not be perfect - your feedback is welcome! IS THIS YOUR NEXT READ?

You might enjoy this book if you're fascinated by unconventional strategies in finance and investment, particularly in the realm of options and volatility trading. It provides insightful analysis and risk management techniques that can appeal to both experienced traders and enthusiastic learners eager to deepen their understanding of advanced financial concepts.

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The Second Leg Down

Cut risk and generate profit even after the market drops The Second Leg Down offers practical approaches to profiting after a market event. Written by a specialist in global macro, volatility and hedging overlay strategies, this book provides in-depth insight into surviving in a volatile environment.

Book Hero Magic formatted this description to make it easier to read. While it's new and still learning, it may not be perfect - your feedback is welcome! Description
Cut risk and generate profit even after the market drops

The Second Leg Down offers practical approaches to profiting after a market event. Written by a specialist in global macro, volatility, and hedging overlay strategies, this book provides in-depth insight into surviving in a volatile environment. Historical back tests and scenario diagrams illustrate a variety of strategies for offsetting portfolio risks with after-the-fact options hedging, and the discussion explores how a mixture of trend following and contrarian futures strategies can be beneficial. Without a rational analysis-based approach, investors often find themselves having to cut risk and buy protection just as options are at their most over-priced. This book provides practical strategies, expert analysis, and the knowledge base to assist you in recovering your portfolio.

Hedging strategies are often presented as expensive and unnecessary, especially during a bull market. When equity indices and other unstable assets drop, they find themselves stuck – hedging is now at its most expensive, but it is imperative to hedge or face liquidation. This book shows you how to salvage the situation with strategies backed by expert analysis.

  • Identify the right hedges during high volatility
  • Generate attractive risk-adjusted returns
  • Learn new strategies for offsetting risk
  • Know your options for when losses have already occurred

Imagine this scenario: you've incurred significant losses, you're approaching risk limits, you must cut risk immediately, yet slashing positions would damage the portfolio – what do you do? The Second Leg Down is your emergency hotline, with practical strategies for dire conditions.

Series: The Wiley Finance Series

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Book Details

INFORMATION

ISBN: 9781119219088

Publisher: John Wiley & Sons Inc

Format: Hardback

Date Published: 03 March 2017

Country: United States

Imprint: John Wiley & Sons Inc

Audience: Professional and scholarly

DIMENSIONS

Spine width: 20.0mm

Width: 170.0mm

Height: 246.0mm

Weight: 408g

Pages: 208

About the Author

HARI P. KRISHNAN, PHD, is a fund manager at Cross-Border Capital, where he runs systematic macro and volatility strat-egies. Cross-Border is a London-based hedge fund with roughly US$300 million in assets. He previously managed a CTA for a London-based asset management bou-tique, and he was an executive director and co-head of alternative asset allocation at Morgan Stanley (Chicago and London). In addition, Dr. Krishnan has worked as an options trading strategist and as a senior economist at the Chicago Board of Trade. He received a PhD in applied math from Brown University, and he was a post-doctoral research scientist at the Columbia Earth In-stitute, Columbia University, before moving into finance.

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