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New Money Management by Ralph Vince
 
New Money Management by Ralph Vince Quantity in Basket: None
Code: 773
Price: $49.95
Shipping Weight: 4.00 pounds
 
 
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Synopsis:

Computer trading systems expert Ralph Vince introduces investment professionals to a revolutionary portfolio management model designed to optimize account performance, not just in the long run, but at virtually any given point in time.

Description:

This groundbreaking practical guide introduces a revolutionary portfolio management model for optimizing account performance at virtually any given point in time. Explains highly complex concepts in straightforward terms using a bare minimum of math. Provides traders and investors with easy-to-understand, easy-to-use formulas and investment strategies that they can put into practice immediately.

In his bestselling PORTFOLIO MANAGEMENT FORMULAS and THE MATHEMATICS OF MONEY MANAGEMENT, Ralph Vince brought the complex mathematics of probability and modern portfolio management theory down to earth for traders and investors. He introduced innovative new ways they could be used to maximize account management decisions. Now, in this groundbreaking new book, Vince takes a quantum leap forward to provide investment professionals with a proven new approach to portfolio management that overturns nearly a half-century of accepted wisdom about asset allocation and money management.

The culmination of Ralph Vince's years spent probing the limits of the mathematics of portfolio management, THE NEW MONEY MANAGEMENT elaborates on his celebrated OPTIMAL F notion-a concept which will be familiar to readers of either of Vince's previous books-to provide a revolutionary portfolio management model designed to optimize account performance, not just in the long run, but at virtually any given point in time.

Unlike traditional models which focus on risk and reward as competing entities, the approach to potfolio construction described in this book concentrated on obtaining optimal synergy among all of the various components of a given portfolio. Unlike previous portfolio models which assumed an a priori distribution to returns, usually with returns being normally distributed, this new model is applicable to any distributional form of return.

In THE NEW MONEY MANAGEMENT, Ralph Vince once again demonstrates his critically acclaimed talent for talking about highly complex concepts in practical, real-world terms. Writing in a lively, anecdotal style, and relying on a bare minimum of math, he gently guides readers through the maze of complex theoretical issues while arming them with a set of easy-to-understand, easy-to-use formulas and investment strategies that they can put into practice immediately.

THE NEW MONEY MANAGEMENT is an indespensable resource for all investment professionals, especially traders in stocks, options, and futures; institutional investors; and portfolio managers.

Table of Contents

Introduction
Chapter 1: A New Framework
Chapter 2: Laws of Growth, Utility, and Finite Streams
Chapter 3: Conditional Probabilities Involving Correlation
Chapter 4: A New Model
Chapter 5: Money Management for Money Managers
Bibliography and Sources
Index

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