ISBN-13: 9780471316985 / Angielski / Twarda / 1999 / 256 str.
Nearly every week investment experts offer up more winning trading systems-methods for identifying when to buy, hold, and sell stocks, bonds, futures, and options. Some work well, others less so. One thing they all have in common is that they only work for a limited period of time. The question, then, is what can the trader do on a regular basis that will give them an edge? The answer-money/risk management. This volume gives sophisticated investors and traders all the answers they are looking for. It walks the trader through the entire risk management system, showing them how many trades to place, what their maximum drawdowns will be, how to combine different markets and different systems for diversification, and how to increase profits and minimise losses. It also explains how to harness the power of money management for any trading system.