Optimal Trading Strategies: Quantitative Approaches for Managing Market Impact and Trading Risk. Dieser Artikel ist nicht verfügbar.
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Sprache: Englisch
Verlag: Amacom Books, 2003
- Hardcover
- Gebraucht

Anbieter: YESIBOOKSTORE, MIAMI, FL, USAYESIBOOKSTORE
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Hardcover
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EUR 71,05
Bestandsnummer des Verkäufers 0814407242-VB
- Titel
- Optimal Trading Strategies: Quantitative Approaches for Managing Market Impact and Trading Risk
- Autor
- Glantz, Morton
- Verlag
- Amacom Books
- Veröffentlichungsjahr
- 2003
- Zustand
- As New
- Einband
- hardcover
- Sprache
- Englisch
- ISBN-10
- 0814407242
- ISBN-13
- 9780814407240
"The decisions that investment professionals and fund managers make have a direct impact on investor return. Unfortunately, the best implementation methodologies are not widely disseminated throughout the professional community, compromising the best interests of funds, their managers, and ultimately the individual investor. But now there is a strategy that lets professionals make better decisions. This valuable reference answers crucial questions such as: * How do I compare strategies? * Should I trade aggressively or passively? * How do I estimate trading costs, "slice" an order, and measure performance? and dozens more. Optimal Trading Strategies is the first book to give professionals the methodology and framework they need to make educated implementation decisions based on the objectives and goals of the funds they manage and the clients they serve."
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Über die Autorin bzw. den Autor
Robert Kissell (Atlanta, GA) is director of trading research at a major provider of technology-based trading solutions. Morton Glantz (Dix Hills, NY) is the founder of Mort Glantz Associates, a consulting firm specializing in credit, strategic planning, and risk management. He is the author of Scientific Financial Management (0-8144-0500-2).
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