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  • Language: English

    Published by Palgrave Macmillan, 2021

    3030792528 / 9783030792527

    • Softcover

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    Condition: 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.

  • Language: English

    Published by Wiley, 2017

    1119219086 / 9781119219088

    Series: Book 8 of 15 - The Wiley Finance Series

    • Hardcover

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    hardcover. Condition: 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.

  • Language: English

    Published by Wiley, 2017

    1119219086 / 9781119219088

    Series: Book 8 of 15 - The Wiley Finance Series

    • Hardcover

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    Hardcover. Condition: Good. No Jacket. Missing dust jacket; Pages can have notes/highlighting. Spine may show signs of wear. ~ ThriftBooks: Read More, Spend Less.

  • Language: English

    Published by Wiley, 2017

    1119219086 / 9781119219088

    Series: Book 8 of 15 - The Wiley Finance Series

    • Hardcover

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    hardcover. Condition: Very Good. This Book is in Very Good condition. See our picture for exact item you will receive. All items ship within 24 hours. Packaging is 100% Recyclable. Most items purchased from Charitable organizations. A portion of each sale is also donated to a monthly charity, check your package for this month's charity. Reuse-Recycle-Rebook.

  • Language: English

    Published by Wiley, 2017

    1119219086 / 9781119219088

    Series: Book 8 of 15 - The Wiley Finance Series

    • Hardcover

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    Condition: Very Good. Item in very good condition! Textbooks may not include supplemental items i.e. CDs, access codes etc.

  • Language: English

    Published by John Wiley & Sons Inc, New York, 2017

    1119219086 / 9781119219088

    Series: Book 8 of 15 - The Wiley Finance Series

    • Hardcover

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    Hardcover. Condition: new. Hardcover. Cut risk and generate profit even after the market drops The Second Leg Down offers practical approaches to profiting after a market event. Written by a specialist in global macro, volatility and hedging overlay strategies, this book provides in-depth insight into surviving in a volatile environment. Historical back tests and scenario diagrams illustrate a variety of strategies for offsetting portfolio risks with after-the-fact options hedging, and the discussion explores how a mixture of trend following and contrarian futures strategies can be beneficial. Without a rational analysis-based approach, investors often find themselves having to cut risk and buy protection just as options are at their most over-priced. This book provides practical strategies, expert analysis and the knowledge base to assist you in recovering your portfolio. Hedging strategies are often presented as expensive and unnecessary, especially during a bull market. When equity indices and other unstable assets drop, they find themselves stuck hedging is now at its most expensive, but it is imperative to hedge or face liquidation. This book shows you how to salvage the situation, with strategies backed by expert analysis. Identify the right hedges during high volatilityGenerate attractive risk-adjusted returnsLearn new strategies for offsetting riskKnow your options for when losses have already occurred Imagine this scenario: you've incurred significant losses, you're approaching risk limits, you must cut risk immediately, yet slashing positions would damage the portfolio what do you do? The Second Leg Down is your emergency hotline, with practical strategies for dire conditions. Cut risk and generate profit even after the market drops The Second Leg Down offers practical approaches to profiting after a market event. Written by a specialist in global macro, volatility and hedging overlay strategies, this book provides in-depth insight into surviving in a volatile environment. Shipping may be from multiple locations in the US or from the UK, depending on stock availability.

  • Language: English

    Published by Palgrave Macmillan, 2021

    3030792528 / 9783030792527

    • Softcover

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  • Language: English

    Published by Palgrave Macmillan, 2021

    3030792528 / 9783030792527

    • Softcover

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    Condition: New. This is a Brand-new US Edition. This Item may be shipped from US or any other country as we have multiple locations worldwide.

  • Language: English

    Published by Palgrave Macmillan, 2021

    3030792528 / 9783030792527

    • Softcover

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    Condition: Brand New. New. US edition. Expediting shipping for all USA and Europe orders excluding PO Box. Excellent Customer Service.

  • Language: English

    Published by Springer, 2021

    3030792528 / 9783030792527

    • Softcover

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    Condition: New. 1st ed. 2021 edition NO-PA16APR2015-KAP.

  • Language: English

    Published by Springer, 2021

    3030792528 / 9783030792527

    • Softcover

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  • Language: English

    Published by Wiley, 2017

    1119219086 / 9781119219088

    Series: Book 8 of 15 - The Wiley Finance Series

    • Hardcover

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    HRD. Condition: New. New Book. Shipped from UK. Established seller since 2000.

  • Published by Wiley

    • Hardcover

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    hardcover. Condition: VeryGood. A copy that may have been read, very minimal wear and tear. May have a remainder mark.

  • Language: English

    Published by John Wiley and Sons Inc, US, 2017

    1119219086 / 9781119219088

    Series: Book 8 of 15 - The Wiley Finance Series

    • Hardcover

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    Hardback. Condition: New. Cut risk and generate profit even after the market drops The Second Leg Down offers practical approaches to profiting after a market event. Written by a specialist in global macro, volatility and hedging overlay strategies, this book provides in-depth insight into surviving in a volatile environment. Historical back tests and scenario diagrams illustrate a variety of strategies for offsetting portfolio risks with after-the-fact options hedging, and the discussion explores how a mixture of trend following and contrarian futures strategies can be beneficial. Without a rational analysis-based approach, investors often find themselves having to cut risk and buy protection just as options are at their most over-priced. This book provides practical strategies, expert analysis and the knowledge base to assist you in recovering your portfolio. Hedging strategies are often presented as expensive and unnecessary, especially during a bull market. When equity indices and other unstable assets drop, they find themselves stuck - hedging is now at its most expensive, but it is imperative to hedge or face liquidation. This book shows you how to salvage the situation, with strategies backed by expert analysis. Identify the right hedges during high volatilityGenerate attractive risk-adjusted returnsLearn new strategies for offsetting riskKnow your options for when losses have already occurred Imagine this scenario: you've incurred significant losses, you're approaching risk limits, you must cut risk immediately, yet slashing positions would damage the portfolio - what do you do? The Second Leg Down is your emergency hotline, with practical strategies for dire conditions.

  • Language: English

    Published by Palgrave Macmillan, 2021

    3030792528 / 9783030792527

    • Softcover

    Seller: GreatBookPrices, Columbia, MD, U.S.A.GreatBookPrices

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  • Language: English

    Published by Wiley, 2017

    1119219086 / 9781119219088

    Series: Book 8 of 15 - The Wiley Finance Series

    • Hardcover

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  • Language: English

    Published by Springer Nature Switzerland AG, CH, 2021

    3030792528 / 9783030792527

    • Softcover

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    Paperback. Condition: New. 1st ed. 2021. Since the Global Financial Crisis,  the structure of financial markets has undergone a dramatic shift. Modern markets have been "zombified" by a combination of Central Bank policy, disintermediation of commercial banks through regulation, and the growth of passive products such as ETFs.  Increasingly, risk builds up beneath the surface, through a combination of excessive leverage and crowded exposure to specific asset classes and strategies.  In many cases, historical volatility understates prospective risk.This book provides a practical and wide ranging framework for dealing with the credit, positioning and liquidity risk that investors face in the modern age.  The authors introduce concrete techniques for adjusting traditional risk measures such as volatility during this era of unprecedented balance sheet expansion.When certain agents in the financial network behave differently or in larger scale than they have in the past, traditional portfolio theory breaks down.  It can no longer account for toxic feedback effects within the network.  Our feedback-based risk adjustments allow investors to size their positions sensibly in dangerous set ups, where volatility is not providing an accurate barometer of true risk.The authors have drawn from the fields of statistical physics and game theory to simplify and quantify the impact of very large agents on the distribution of forward returns, and to offer techniques for dealing with situations where markets are structurally risky yet realized volatility is low.  The concepts discussed here should be of practical interest to portfolio managers, asset allocators, and risk professionals, as well as of academic interest to scholars and theorists.

  • Language: English

    Published by Springer, 2021

    3030792528 / 9783030792527

    • Softcover

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  • Language: English

    Published by Wiley, 2017

    1119219086 / 9781119219088

    Series: Book 8 of 15 - The Wiley Finance Series

    • Hardcover

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    Condition: New. In English.

  • Language: English

    Published by Palgrave Macmillan, 2021

    3030792528 / 9783030792527

    • Softcover

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  • Language: English

    Published by Palgrave Macmillan 2021-09, 2021

    3030792528 / 9783030792527

    • Softcover

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  • Language: English

    Published by Wiley, 2017

    1119219086 / 9781119219088

    Series: Book 8 of 15 - The Wiley Finance Series

    • Hardcover

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  • Language: English

    Published by Wiley, 2017

    1119219086 / 9781119219088

    Series: Book 8 of 15 - The Wiley Finance Series

    • Hardcover

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    Condition: New. pp. 200.

  • Language: English

    Published by Palgrave Macmillan, 2021

    3030792528 / 9783030792527

    • Softcover

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  • Language: English

    Published by John Wiley & Sons Inc, 2017

    1119219086 / 9781119219088

    Series: Book 8 of 15 - The Wiley Finance Series

    • Hardcover
    • First Edition

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    Condition: New. Cut risk and generate profit even after the market drops The Second Leg Down offers practical approaches to profiting after a market event. Written by a specialist in global macro, volatility and hedging overlay strategies, this book provides in-depth insight into surviving in a volatile environment. Series: Wiley Finance. Num Pages: 208 pages. BIC Classification: KFFK. Category: (P) Professional & Vocational. Dimension: 255 x 176 x 22. Weight in Grams: 536. . 2017. 1st Edition. Hardcover. . . . .

  • Language: English

    Published by John Wiley and Sons Inc, US, 2017

    1119219086 / 9781119219088

    Series: Book 8 of 15 - The Wiley Finance Series

    • Hardcover

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    Hardback. Condition: New. Cut risk and generate profit even after the market drops The Second Leg Down offers practical approaches to profiting after a market event. Written by a specialist in global macro, volatility and hedging overlay strategies, this book provides in-depth insight into surviving in a volatile environment. Historical back tests and scenario diagrams illustrate a variety of strategies for offsetting portfolio risks with after-the-fact options hedging, and the discussion explores how a mixture of trend following and contrarian futures strategies can be beneficial. Without a rational analysis-based approach, investors often find themselves having to cut risk and buy protection just as options are at their most over-priced. This book provides practical strategies, expert analysis and the knowledge base to assist you in recovering your portfolio. Hedging strategies are often presented as expensive and unnecessary, especially during a bull market. When equity indices and other unstable assets drop, they find themselves stuck - hedging is now at its most expensive, but it is imperative to hedge or face liquidation. This book shows you how to salvage the situation, with strategies backed by expert analysis. Identify the right hedges during high volatilityGenerate attractive risk-adjusted returnsLearn new strategies for offsetting riskKnow your options for when losses have already occurred Imagine this scenario: you've incurred significant losses, you're approaching risk limits, you must cut risk immediately, yet slashing positions would damage the portfolio - what do you do? The Second Leg Down is your emergency hotline, with practical strategies for dire conditions.

  • Language: English

    Published by Wiley, 2016

    1119219086 / 9781119219088

    Series: Book 8 of 15 - The Wiley Finance Series

    • Hardcover

    Seller: Greener Books, London, United KingdomGreener Books

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    Hardcover. Condition: Used; Very Good. **SHIPPED FROM UK** We believe you will be completely satisfied with our quick and reliable service. All orders are dispatched as swiftly as possible! Buy with confidence! Greener Books.

  • Language: English

    Published by Palgrave Macmillan, 2021

    3030792528 / 9783030792527

    • Softcover

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  • Language: English

    Published by John Wiley & Sons Inc, New York, 2017

    1119219086 / 9781119219088

    Series: Book 8 of 15 - The Wiley Finance Series

    • Hardcover

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    Hardcover. Condition: new. Hardcover. Cut risk and generate profit even after the market drops The Second Leg Down offers practical approaches to profiting after a market event. Written by a specialist in global macro, volatility and hedging overlay strategies, this book provides in-depth insight into surviving in a volatile environment. Historical back tests and scenario diagrams illustrate a variety of strategies for offsetting portfolio risks with after-the-fact options hedging, and the discussion explores how a mixture of trend following and contrarian futures strategies can be beneficial. Without a rational analysis-based approach, investors often find themselves having to cut risk and buy protection just as options are at their most over-priced. This book provides practical strategies, expert analysis and the knowledge base to assist you in recovering your portfolio. Hedging strategies are often presented as expensive and unnecessary, especially during a bull market. When equity indices and other unstable assets drop, they find themselves stuck hedging is now at its most expensive, but it is imperative to hedge or face liquidation. This book shows you how to salvage the situation, with strategies backed by expert analysis. Identify the right hedges during high volatilityGenerate attractive risk-adjusted returnsLearn new strategies for offsetting riskKnow your options for when losses have already occurred Imagine this scenario: you've incurred significant losses, you're approaching risk limits, you must cut risk immediately, yet slashing positions would damage the portfolio what do you do? The Second Leg Down is your emergency hotline, with practical strategies for dire conditions. Cut risk and generate profit even after the market drops The Second Leg Down offers practical approaches to profiting after a market event. Written by a specialist in global macro, volatility and hedging overlay strategies, this book provides in-depth insight into surviving in a volatile environment. Shipping may be from our Sydney, NSW warehouse or from our UK or US warehouse, depending on stock availability.

  • Language: English

    Published by Wiley, 2017

    1119219086 / 9781119219088

    Series: Book 8 of 15 - The Wiley Finance Series

    • Hardcover

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    Condition: New. pp. 200.