There are basically five strategies which can help you in allocating your risk management. 1. Learn about the company If you’re going to put money into the stock market, you need to devote time and energy to learning about the company’s financial statements and annual reports, as well as the state of the economy at […]
Market Risk
What is Risk Management in the Stock Market?
In the stock market, risk management is locating, quantifying, and dealing with the various risks that can affect investment. It’s a must-have in the stock market since it aids traders and investors in deciding whether to purchase or sell a specific security. Due to the potential negative effects of various risks on a person’s investment […]
Machine Learning Risk Models
Brand new paper “Machine Learning Risk Models” https://ssrn.com/abstract=3308964 gives a new algorithm and source code for building non-factor risk models using machine learning techniques. It also compares them empirically to other risk model constructions.
Real Time Stock Prices in Excel
Excel is undoubtedly the best platform for performing custom tasks on your stock portfolio, such as generating performance charts with respect to non-standard quantities. Generally you would rather base your trading decisions not only on past and current share prices, but also on mathematical quantities calculated out of those prices, broadly known as Technical Indicators. […]
151 Trading Strategies
Brand new book “151 Trading Strategies” (freely downloadable 257-page preview version https://ssrn.com/abstract=3247865) gives detailed descriptions for 150+ trading strategies for stocks, options, fixed income, futures, ETFs, indexes, commodities, foreign exchange, convertibles, structured assets, volatility, real estate, distressed assets, cash, cryptocurrencies, weather, energy, inflation, global macro, infrastructure, and tax arbitrage. Some strategies are based on machine […]
What do 101 real-life Quant Trading Signals look like?
Paper “101 Formulaic Alphas” https://ssrn.com/abstract=2701346 (freely downloadable PDF) gives explicit formulas – which are also computer source code – for 101 real-life quantitative trading signals (alphas). 26,000+ downloads.
Market and Model Risk Management in Excel for free
Market Risk Management is a complex field that demands, among other things, three fundamental aspects: Access to market data – both real-time and historical; A good understanding of the applicable valuation models and, above all; Available implementations of at least a few of these models. In addition, these models must be implemented in a user […]
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 www.value-at-risk.net. If you want to learn in depth about VaR, this is definitely the eBook for you. Don’t miss this great opportunity. About the […]