Taking a chance in financial markets implies potential big risks and this is not for everyone. The risk/reward might be high and even if you have every possible rational for a trade well thought, discussed, supported with solid fundamentals and technical analysis, even so, things might go wrong and you might suffer big losses. This bitter reality is many […]
Trading
Top 5 Risk Management Trading Rules
Portfolio managers (PM) and traders make investment decisions everyday which translate into risk positions in their books. These decisions are mostly supported by strong fundamental views and solid convictions, based on the PM’s or trader’s view on how the market will move and how will these moves affect their positions. There are several techniques that a PM or trader […]
10 Essential Risk Management Videos – Part 2
In part 1 of this article I’ve included a series of relevant Risk Management videos, covering conceptual topics around investing with derivatives securities such as Forwards, Futures, Hedging, Hedging with Futures, Put/Call Options, etc. This article covers additional videos focusing on Risk and Reward concepts such as Systematic Risk (not to be confused with Systemic Risk), Total Risk, Portfolio Risk […]
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 in Equity Options, the other half as a Proprietary Options trader in the Energy Markets). He has authored Amazon’s popular book How to Calculate Options Prices and Their Greeks: […]
10 Must Have Skills to be a Successful Risk Manager
As regulatory requirements shift and evolve, so must Risk and Compliance professionals keep improving and grow their skills and knowledge. Keeping up with regulation and ongoing wider regulatory programmes, as well as covering the day to day operations at financial firms or banks, requires that Risk Managers are constantly learning, adapting and systematically moving their […]
EBOOK: The Stock Market, Credit, and Capital Formation
This eBook was written by German economist Fritz Machlup. Machlup was an early Misesian who originally wrote this book as an early study in the workings of the business cycle. His main focus on this book is the investigation and explanation of the relationship between expanding credit, monetary policy, and rising stock prices. The original […]
INFOGRAPHIC: What is a Stock Chart?
If you’re taking your first steps into the world of stock markets and possibly thinking of investing, you are probably spending quite some time surfing the web and googling for everything you can on the subject. Depending exactly on what you are looking for, the topic might be vast and complex. Moreover, some very bright […]
EBOOK: Investment Fables
As investors, you have all been on the receiving end of sales pitches from brokers, friends and investment advisors about stocks that they claim will deliver spectacular returns. These stories not only sound persuasive and reasonable but are also backed up by evidence—anecdotal, in some cases, and statistical, in others—that the strategies work. When you […]