Skip to main content
Free eBook VAR

EBOOK: Value-at-Risk – Theory and Practice

Value-at-Risk – Theory and Practice” second edition is an eBook written by Glyn A. Holton and published in 2014 by the author as a full web based totally free eBook, available in

If you want to learn in depth about VaR, this is definitely the eBook for you. Don’t miss this great opportunity.

About the Author

Glyn A. Holton is an author and consultant specializing in financial risk management. He is known for his groundbreaking paper Defining Risk. He wrote the definitive book on value-at-risk and distributes this second edition of the book freely online. He is also an active blogger in


Click on the image below to access this free eBook


EBOOK: VaR - Theory and Practice - CLICK TO OPEN FREE EBOOK

You may also like:

Measuring Risk with Options using the Greeks If you're trading with options (or about to start), you will need to get acquainted with the Greeks. The Greeks are composed of four main measures of ...
5 Essential Rules for Trading with Futures A “Futures contract” is a legal agreement between two parties that agree the delivery, from one party to the other, of a specified quantity, of a spec...
INFOGRAPHIC: How Does the U.S. Stock Market Perform in Election Years? Tomorrow is a big day for the American people. It is estimated that over 200m people will go to the ballots, in what is already being considered the m...
Popular Systematic Trading Strategy – Breakout Trading London based Man AHL - Leading Quantitative Investment Manager and one of the biggest hedge funds in the world ($19 billion AUM), published a series o...
Exclusive Interview with Options Expert & Author Pierino Ursone Pierino Ursone has more than twenty years working as a professional Options trader in the equity and commodity markets (half of it as a Market Maker i...

Antonio Caldas

Program/Project/Risk manager with 15+ years mix-industry, with a particular emphasis in Banking & Financial Services. Active in risk management, market risk control, front office risk management, product control, change and transformation management, business analysis and business process improvement for global capital markets and investment banking, covering a multiple range of asset classes.

Leave a Reply

Your email address will not be published. Required fields are marked *