Isbn: 9780471650911 - trading risk: enhanced profitability through risk control (32 risultati)

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  • Lingua: Inglese

    Editore: Wiley, 2004

    0471650919 / 9780471650911

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    Condizione: good. The book is in good condition with all pages and cover intact, including the dust jacket if originally issued. The spine may show light wear. Pages may contain some notes or highlighting, and there might be a "From the library of" label. Boxed set packaging, shrink wrap, or included media like CDs may be missing.

  • Lingua: Inglese

    Editore: Wiley, 2004

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    Hardcover. Condizione: Good. Connecting readers with great books since 1972! Used textbooks may not include companion materials such as access codes, etc. May have some wear or writing/highlighting. We ship orders daily and Customer Service is our top priority.

  • Lingua: Inglese

    Editore: Wiley & Sons, Incorporated, John, 2004

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  • Lingua: Inglese

    Editore: Wiley, 2004

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    Hardback. Condizione: Very Good. The book has been read, but is in excellent condition. Pages are intact and not marred by notes or highlighting. The spine remains undamaged.

  • Lingua: Inglese

    Editore: Wiley, 2004

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  • Lingua: Inglese

    Editore: Wiley, 2004

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  • Lingua: Inglese

    Editore: Wiley, 2004

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  • Lingua: Inglese

    Editore: Wiley, 2004

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  • Lingua: Inglese

    Editore: Wiley, 2004

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  • Lingua: Inglese

    Editore: Wiley, 2004

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  • Lingua: Inglese

    Editore: Wiley, 2004

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  • Lingua: Inglese

    Editore: Wiley, 2004

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  • Lingua: Inglese

    Editore: John Wiley and Sons Inc, US, 2004

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    Hardback. Condizione: New. Revolutionary techniques that traders can implement to improve profits and avoid losses No trader, professional or individual, can afford not to have a solid risk management program integrated into his or her trading system. But finding a precise mathematical model to replace subjective decision-making processes is a challenge. Traditionally, risk management has focused solely on loss avoidance, but in Trading Risk, hedge fund risk manager Kenneth Grant presents some-thing completely new-how to manage a portfolio to minimize risk and increase profits by putting more capital at risk. Trading Risk details a risk management program that can help both money managers and individual traders evaluate which elements in a portfolio are working efficiently and which aren't. By illustrating an extremely simple set of statistical and arithmetic tools this book can help readers enhance their performance in many financial markets. Kenneth L.Grant is Cheyne's Global Risk Manager, and is the Managing Member for Cheyne Capital, LLC, the firm's U.S. arm. Mr. Grant is a pioneer in the field of hedge fund risk management and capital allocation. Before joining Cheyne, he created risk control programs at two of the world's leading hedge funds, Tudor Investments and SAC Capital, where he was eventually promoted to the title of Chief Investment Strategist. Mr. Grant holds a Bachelor of Science in Economics and Mathematics from the University of Wisconsin, an MA in Economics from Columbia University, and an MBA from the University of Chicago Graduate School of Business.

  • Lingua: Inglese

    Editore: Wiley, 2004

    0471650919 / 9780471650911

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  • Lingua: Inglese

    Editore: Wiley, 2004

    0471650919 / 9780471650911

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  • Lingua: Inglese

    Editore: Wiley, 2004

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    Condizione: New. In English.

  • Lingua: Inglese

    Editore: John Wiley & Sons, 2004

    0471650919 / 9780471650911

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    Condizione: New. pp. xiv + 258 Illus.

  • Lingua: Inglese

    Editore: John Wiley and Sons Ltd, 2004

    0471650919 / 9780471650911

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    Condizione: New. Revolutionary techniques that traders can implement to improve profits and avoid losses No trader, professional or individual, can afford not to have a solid risk management program integrated into his or her trading system. But finding a precise mathematical model to replace subjective decision--making processes is a challenge. Series: Wiley Trading. Num Pages: 272 pages, black & white illustrations. BIC Classification: KF. Category: (P) Professional & Vocational; (U) Tertiary Education (US: College). Dimension: 164 x 238 x 29. Weight in Grams: 640. . 2004. 1st Edition. Hardcover. . . . .

  • Lingua: Inglese

    Editore: John Wiley & Sons Inc, 2004

    0471650919 / 9780471650911

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    Hardback. Condizione: New. New copy - Usually dispatched within 4 working days.

  • Lingua: Inglese

    Editore: John Wiley & Sons, 2004

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    Condizione: New. pp. xiv + 258 Index.

  • Lingua: Inglese

    Editore: John Wiley & Sons Inc, 2004

    0471650919 / 9780471650911

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    Hardcover. Condizione: Brand New. illustrated edition. 272 pages. 9.00x6.25x1.25 inches. In Stock.

  • Lingua: Inglese

    Editore: John Wiley and Sons Ltd, 2004

    0471650919 / 9780471650911

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    Condizione: New. Revolutionary techniques that traders can implement to improve profits and avoid losses No trader, professional or individual, can afford not to have a solid risk management program integrated into his or her trading system. But finding a precise mathematical model to replace subjective decision--making processes is a challenge. Series: Wiley Trading. Num Pages: 272 pages, black & white illustrations. BIC Classification: KF. Category: (P) Professional & Vocational; (U) Tertiary Education (US: College). Dimension: 164 x 238 x 29. Weight in Grams: 640. . 2004. 1st Edition. Hardcover. . . . . Books ship from the US and Ireland.

  • Lingua: Inglese

    Editore: John Wiley & Sons, 2004

    0471650919 / 9780471650911

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    Gebunden. Condizione: New. Revolutionary techniques that traders can implement to improve profits and avoid losses No trader, professional or individual, can afford not to have a solid risk management program integrated into his or her trading system. But finding a precise mat.

  • Lingua: Inglese

    Editore: John Wiley & Sons Inc, New York, 2004

    0471650919 / 9780471650911

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    Hardcover. Condizione: new. Hardcover. Revolutionary techniques that traders can implement to improve profits and avoid losses No trader, professional or individual, can afford not to have a solid risk management program integrated into his or her trading system. But finding a precise mathematical model to replace subjective decision-making processes is a challenge. Traditionally, risk management has focused solely on loss avoidance, but in Trading Risk, hedge fund risk manager Kenneth Grant presents some-thing completely newhow to manage a portfolio to minimize risk and increase profits by putting more capital at risk. Trading Risk details a risk management program that can help both money managers and individual traders evaluate which elements in a portfolio are working efficiently and which arent. By illustrating an extremely simple set of statistical and arithmetic tools this book can help readers enhance their performance in many financial markets. Kenneth L.Grant is Cheynes Global Risk Manager, and is the Managing Member for Cheyne Capital, LLC, the firms U.S. arm. Mr. Grant is a pioneer in the field of hedge fund risk management and capital allocation. Before joining Cheyne, he created risk control programs at two of the worlds leading hedge funds, Tudor Investments and SAC Capital, where he was eventually promoted to the title of Chief Investment Strategist. Mr. Grant holds a Bachelor of Science in Economics and Mathematics from the University of Wisconsin, an MA in Economics from Columbia University, and an MBA from the University of Chicago Graduate School of Business. Revolutionary techniques that traders can implement to improve profits and avoid losses No trader, professional or individual, can afford not to have a solid risk management program integrated into his or her trading system. But finding a precise mathematical model to replace subjective decision--making processes is a challenge. Shipping may be from our Sydney, NSW warehouse or from our UK or US warehouse, depending on stock availability.

  • Lingua: Inglese

    Editore: John Wiley & Sons Sep 2004, 2004

    0471650919 / 9780471650911

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    Da: AHA-BUCH GmbH, Einbeck, GermaniaAHA-BUCH GmbH

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    Buch. Condizione: Neu. Neuware - Revolutionary techniques that traders can implement to improve profits and avoid losses No trader, professional or individual, can afford not to have a solid risk management program integrated into his or her trading system. But finding a precise mathematical model to replace subjective decision-making processes is a challenge. Traditionally, risk management has focused solely on loss avoidance, but in Trading Risk, hedge fund risk manager Kenneth Grant presents some-thing completely new-how to manage a portfolio to minimize risk and increase profits by putting more capital at risk. Trading Risk details a risk management program that can help both money managers and individual traders evaluate which elements in a portfolio are working efficiently and which aren't. By illustrating an extremely simple set of statistical and arithmetic tools this book can help readers enhance their performance in many financial markets. Kenneth L.Grant is Cheyne's Global Risk Manager, and is the Managing Member for Cheyne Capital, LLC, the firm's U.S. arm. Mr. Grant is a pioneer in the field of hedge fund risk management and capital allocation. Before joining Cheyne, he created risk control programs at two of the world's leading hedge funds, Tudor Investments and SAC Capital, where he was eventually promoted to the title of Chief Investment Strategist. Mr. Grant holds a Bachelor of Science in Economics and Mathematics from the University of Wisconsin, an MA in Economics from Columbia University, and an MBA from the University of Chicago Graduate School of Business.

  • Lingua: Inglese

    Editore: John Wiley and Sons Inc, US, 2004

    0471650919 / 9780471650911

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    Da: Rarewaves.com UK, London, Regno UnitoRarewaves.com UK

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    Hardback. Condizione: New. Revolutionary techniques that traders can implement to improve profits and avoid losses No trader, professional or individual, can afford not to have a solid risk management program integrated into his or her trading system. But finding a precise mathematical model to replace subjective decision-making processes is a challenge. Traditionally, risk management has focused solely on loss avoidance, but in Trading Risk, hedge fund risk manager Kenneth Grant presents some-thing completely new-how to manage a portfolio to minimize risk and increase profits by putting more capital at risk. Trading Risk details a risk management program that can help both money managers and individual traders evaluate which elements in a portfolio are working efficiently and which aren't. By illustrating an extremely simple set of statistical and arithmetic tools this book can help readers enhance their performance in many financial markets. Kenneth L.Grant is Cheyne's Global Risk Manager, and is the Managing Member for Cheyne Capital, LLC, the firm's U.S. arm. Mr. Grant is a pioneer in the field of hedge fund risk management and capital allocation. Before joining Cheyne, he created risk control programs at two of the world's leading hedge funds, Tudor Investments and SAC Capital, where he was eventually promoted to the title of Chief Investment Strategist. Mr. Grant holds a Bachelor of Science in Economics and Mathematics from the University of Wisconsin, an MA in Economics from Columbia University, and an MBA from the University of Chicago Graduate School of Business.

  • Lingua: Inglese

    Editore: Wiley, 2004

    0471650919 / 9780471650911

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    Hardcover. Condizione: Like New. LIKE NEW. SHIPS FROM MULTIPLE LOCATIONS. book.

  • Lingua: Inglese

    Editore: John Wiley & Sons Inc, New York, 2004

    0471650919 / 9780471650911

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    Hardcover. Condizione: new. Hardcover. Revolutionary techniques that traders can implement to improve profits and avoid losses No trader, professional or individual, can afford not to have a solid risk management program integrated into his or her trading system. But finding a precise mathematical model to replace subjective decision-making processes is a challenge. Traditionally, risk management has focused solely on loss avoidance, but in Trading Risk, hedge fund risk manager Kenneth Grant presents some-thing completely newhow to manage a portfolio to minimize risk and increase profits by putting more capital at risk. Trading Risk details a risk management program that can help both money managers and individual traders evaluate which elements in a portfolio are working efficiently and which arent. By illustrating an extremely simple set of statistical and arithmetic tools this book can help readers enhance their performance in many financial markets. Kenneth L.Grant is Cheynes Global Risk Manager, and is the Managing Member for Cheyne Capital, LLC, the firms U.S. arm. Mr. Grant is a pioneer in the field of hedge fund risk management and capital allocation. Before joining Cheyne, he created risk control programs at two of the worlds leading hedge funds, Tudor Investments and SAC Capital, where he was eventually promoted to the title of Chief Investment Strategist. Mr. Grant holds a Bachelor of Science in Economics and Mathematics from the University of Wisconsin, an MA in Economics from Columbia University, and an MBA from the University of Chicago Graduate School of Business. Revolutionary techniques that traders can implement to improve profits and avoid losses No trader, professional or individual, can afford not to have a solid risk management program integrated into his or her trading system. But finding a precise mathematical model to replace subjective decision--making processes is a challenge. This item is printed on demand. Shipping may be from multiple locations in the US or from the UK, depending on stock availability.

  • Lingua: Inglese

    Editore: John Wiley & Sons Inc, 2004

    0471650919 / 9780471650911

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    Da: Revaluation Books, Exeter, Regno UnitoRevaluation Books

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    EUR 81,77

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    Hardcover. Condizione: Brand New. illustrated edition. 272 pages. 9.00x6.25x1.25 inches. In Stock. This item is printed on demand.

  • Lingua: Inglese

    Editore: John Wiley & Sons Inc, 2004

    0471650919 / 9780471650911

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    Da: THE SAINT BOOKSTORE, Southport, Regno UnitoTHE SAINT BOOKSTORE

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    EUR 79,23

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    Hardback. Condizione: New. This item is printed on demand. New copy - Usually dispatched within 5-9 working days 637.