If your investment falls by 50% you’ll need a 100% rise to get you back where you started. So when speculating in the markets, protecting the money you do have is just as important as making some more. This book is for you if you’d like to have a go [...]
Value at Risk (VAR) is rapidly emerging as the dominant methodology for estimating precisely how much money is at risk each day in the financial markets. Traders and managers use it to monitor the financial risk of a portfolio. This book provides an objective view of VAR, analyzing its pitfalls as [...]
Review
“An excellent guide for learning how to trade option spreads. Saliba offers in-depth discussions on how and when to employ these advanced strategies and to manage the risk of each position.” Peter LipskyTrader, Pan Capital
Saliba is back with the best option trading strategies for all markets, [...]