Another book of Michael Chekulaeva reveals the theme of risk management and risk assessment in the course of trade binary options. He focuses on the fact that, regardless of the experience of the trader or investor, its theoretical and practical skills, the most important task is to manage capital and risk management. The ability to find a balance between risk and reward is able to make of you a successful and profitable player in the market. You can also learn about the different trading strategies, Methods of analysis and practical application.
Book's contents
- Basics
- Required information
- Introduction to trading volatility
- Development and evaluation of the strategy
- Risk management
- Evaluation of fatal risk and return
- Advantages and disadvantages of volatility strategies
- More complex concepts
- Specifics markets
- Volatility in Risk Management Program
- Structured financial products and volatility
Date of publication | 2002 |
Publisher | Alpina Publisher |
Language | Russian |
Genre | Exchange literature |
ISBNs | 5-94599-535-3 |