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Trading Risk

Enhanced Profitability through Risk Control
Series: Wiley Trading
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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 Trading Risk by Kenneth L. Grant, the author explores advanced risk management techniques utilised in the finance and investment sectors. The book delves into innovative strategies and practical approaches to managing trading risk, offering insights into both theoretical and real-world applications. It serves as a guide for financial professionals seeking to enhance their understanding of risk assessment and mitigation in today's complex markets.
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Format: Hardback
$17899
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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?

This book may appeal to you if you're interested in understanding the intricate dynamics of risk management within the realm of finance and investment. It offers insights into the strategies and tools necessary for successful trading, making it ideal for both professionals looking to refine their skills and enthusiasts keen on grasping the complexities of financial markets.

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Trading Risk

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.

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

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 programme 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 something completely newβ€”how to manage a portfolio to minimise risk and increase profits by putting more capital at risk.

Trading Risk details a risk management programme 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 (New York, NY) is Managing Partner and CIO of Exis Capital, a NYC-based multi-strategy hedge fund. Prior to this, Grant worked as the head of risk management for both Tudor Investments and the Chicago Mercantile Exchange. He was also the chief investment strategist for SAC Capital Advisors, one of the largest hedge funds in the world with over USD4 billion under management.

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.

Series: Wiley Trading

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Book Details

INFORMATION

ISBN: 9780471650911

Publisher: John Wiley & Sons Inc

Format: Hardback

Date Published: 05 October 2004

Country: United States

Imprint: John Wiley & Sons Inc

Audience: Tertiary education, Professional and scholarly

DIMENSIONS

Spine width: 22.0mm

Width: 164.0mm

Height: 238.0mm

Weight: 517g

Pages: 272

About the Author

Kenneth L.Grant is CheyneΒ’s Global Risk Manager, and is the Managing Member for Cheyne Capital, LLC, the firmΒ’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 worldΒ’s leading hedge funds, Tudor Investments and SAC Capital, where he was eventually promoted to the title of Chief Investment Strategist. Earlier in his career, Mr. Grant led risk management efforts for the Chicago Mercantile Exchange and SociΓ©tΓ© GΓ©nΓ©rale. He is also a member of the Board of Directors of the Managed Futures Association (MFA), and is a founding member of MFAΒ’s Hedge Fund Advisory CommitteeΒ–the industryΒ’s leading trade relations organization. He is a principal author of MFAΒ’s Sound Practices for Hedge Fund Managers (2000). 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.

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