If you read technical analysis reports or any kind of possible “predictive” analysis reports on markets performance – if they have a commercial angle – you will often read the statement “past performances do not guarantee future performances“. This is obviously an important disclaimer that whoever is selling must include in any literature going out […]
Trading
VIDEO: The Universal Principle of Risk Management: Pooling and the Hedging of Risks
Statistics and mathematics underlie the theories of finance. Probability Theory and various distribution types are important to understanding finance. Risk management, for instance, depends on tools such as variance, standard deviation, correlation, and regression analysis. Financial analysis methods such as present values and valuing streams of payments are fundamental to understanding the time value of […]
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 of videos explaining how maths are the core for their predictive trading tools. The video highlighted below explains “breakout trading,” which is one of one of the most popular systematic […]
MIFID (II) AND MIFIR
Whats is MiFID? MiFID is the Markets in Financial Instruments Directive (2004/39/EC). It has been applicable across the European Union since November 2007. It is a cornerstone of the EU’s regulation of financial markets seeking to improve the competitiveness of EU financial markets by creating a single market for investment services and activities and to […]