
Quantitive Trading and Money Management: Revised Edition
Fred Gehm(Author)
Irwin Professional Publishing
5th Edition
Published on 5. July 1995
Book
Hardback
340 pages
978-1-55738-585-7 (ISBN)
Description
"Quantitative Trading & Money Management" provides all the tools a trader needs to best utilize his trading capital. The book explains how to use mathematical techniques to calculate risk/reward possibilities, optimal trading size, profit objectives and stop loss points, In short, Gehm expertly covers every issue involved in converting a market forecast into a trade. This completely revised edition sheds light on a number of recent developments in the markets such as managed future and the growth of financial derivatives. Specific topics include: recognizing avoiding catastrophic losses; the importance of diversification; avoiding catastrophic losses; calculating revenue/cost ratios in trading; and developing a sound trading plan.
"Quantitative Trading & Money Management" provides all the tools a trader needs to best utilize his trading capital. The book explains how to use mathematical techniques to calculate risk/reward possibilities, optimal trading size, profit objectives and stop loss points, In short, Gehm expertly covers every issue involved in converting a market forecast into a trade. This completely revised edition sheds light on a number of recent developments in the markets such as managed future and the growth of financial derivatives. Specific topics include: recognizing avoiding catastrophic losses; the importance of diversification; avoiding catastrophic losses; calculating revenue/cost ratios in trading; and developing a sound trading plan.
"Quantitative Trading & Money Management" provides all the tools a trader needs to best utilize his trading capital. The book explains how to use mathematical techniques to calculate risk/reward possibilities, optimal trading size, profit objectives and stop loss points, In short, Gehm expertly covers every issue involved in converting a market forecast into a trade. This completely revised edition sheds light on a number of recent developments in the markets such as managed future and the growth of financial derivatives. Specific topics include: recognizing avoiding catastrophic losses; the importance of diversification; avoiding catastrophic losses; calculating revenue/cost ratios in trading; and developing a sound trading plan.
More details
Edition
5th edition
Language
English
Place of publication
New York
United States
Publishing group
McGraw-Hill Education - Europe
Target group
Professional and scholarly
Dimensions
Height: 226 mm
Width: 158 mm
Thickness: 28 mm
Weight
748 gr
ISBN-13
978-1-55738-585-7 (9781557385857)
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Schweitzer Classification
Person
McGraw-Hill authors represent the leading experts in their fields and are dedicated to improving the lives, careers, and interests of readers worldwide
McGraw-Hill authors represent the leading experts in their fields and are dedicated to improving the lives, careers, and interests of readers worldwide
McGraw-Hill authors represent the leading experts in their fields and are dedicated to improving the lives, careers, and interests of readers worldwide