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Mathematics of Money Management - Risk Analysis Techniques for Traders

Jezik EngleskiEngleski
Knjiga Tvrdi uvez
Knjiga Mathematics of Money Management - Risk Analysis Techniques for Traders Ralph Vince
Libristo kod: 04085605
Nakladnici John Wiley & Sons Inc, travanj 1992
Every futures, options, and stock markets trader operates under a set of highly suspect rules and as... Cijeli opis
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85.02 €
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Every futures, options, and stock markets trader operates under a set of highly suspect rules and assumptions. Are you risking your career on yours? Exceptionally clear and easy to use, The Mathematics of Money Management substitutes precise mathematical modeling for the subjective decision-making processes many traders and serious investors depend on. Step-by-step, it unveils powerful strategies for creating and using key money management formulas--based on the rules of probability and modern portfolio theory--that maximizes the potential gains for the level of risk you are assuming. With them, you'll determine the payoffs and consequences of any potential trading decision and obtain the highest potential growth for your specified level of risk. You'll quickly decide: What markets to trade in and at what quantities When to add or subtract funds from an account How to reinvest trading profits for maximum yield The Mathematics of Money Management provides the missing element in modern portfolio theory that weds optimal f to the optimal portfolio.

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Informacije o knjizi

Puni naziv Mathematics of Money Management - Risk Analysis Techniques for Traders
Autor Ralph Vince
Jezik Engleski
Uvez Knjiga - Tvrdi uvez
Datum izdanja 1992
Broj stranica 400
EAN 9780471547389
ISBN 0471547387
Libristo kod 04085605
Težina 780
Dimenzije 154 x 237 x 31
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