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Global Macro Trading: Profiting in a New World Economy (Bloomberg Financial) ハードカバー – 2014/6/9
購入オプションとあわせ買い
Global Macro Trading is an indispensable guide for traders and investors who want to trade Global Macro – it provides Trading Strategies and overviews of the four asset classes in Global Macro which include equities, currencies, fixed income and commodities. Greg Gliner, who has worked for some of the largest global macro hedge funds, shares ways in which an array of global macro participants seek to capitalize on this strategy, while also serving as a useful reference tool. Whether you are a retail investor, manage your own portfolio, or a finance professional, this book equips you with the knowledge and skills you need to capitalize in global macro.
- Provides a comprehensive overview of global macro trading, which consists of portfolio construction, risk management, biases and essentials to query building
- Equips the reader with introductions and tools for each of the four asset classes; equities, currencies, fixed income and commodities
- Arms you with a range of powerful global-macro trading and investing strategies, that include introductions to discretionary and systematic macro
- Introduces the role of central banking, importance of global macroeconomic data releases and demographics, as they relate to global macro trading
- 本の長さ368ページ
- 言語英語
- 出版社Bloomberg Press
- 発売日2014/6/9
- 寸法15.24 x 2.59 x 22.86 cm
- ISBN-109781118362426
- ISBN-13978-1118362426
商品の説明
著者について
GREG GLINER most recently worked at AQR Capital Management on the Global Asset Allocation team and as an analyst at Tudor Investment Corporation, a global macro hedge fund focusing on discretionary macro in equities, commodities, foreign exchange, and fixed income. Prior to this, he was with Thracian Capital (a hedge fund seeded by Man Group PLC/GLG), where he was a Portfolio Manager. Gliner also worked at BNP Paribas in their equity derivatives business and was also with Citigroup's Financial Institution Group in investment banking where he was involved in various M&A, equity, and debt transactions. He holds MBAs from Columbia Business School and London Business School, and has a BS and BA from Miami University (OH) in finance and history.
Gliner pledges all personal profits from the sale of this book to charity.
登録情報
- ASIN : 111836242X
- 出版社 : Bloomberg Press; 第1版 (2014/6/9)
- 発売日 : 2014/6/9
- 言語 : 英語
- ハードカバー : 368ページ
- ISBN-10 : 9781118362426
- ISBN-13 : 978-1118362426
- 寸法 : 15.24 x 2.59 x 22.86 cm
- Amazon 売れ筋ランキング: - 146,856位洋書 (洋書の売れ筋ランキングを見る)
- - 660位Business & Investing Finance
- - 662位Professional & Technical Finance
- - 925位Investing (洋書)
- カスタマーレビュー:
著者について

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It was helpful beyond all measure, while it does not go into depth on certain topics it is VERY VERY thorough in introducing main themes prevalent in Macro Trading and the intermarket correlations.
What was interesting is Greg actually tries to quantify all aspects of risk in order for us traders to see how he manages it. While I would have preferred a stronger section on Modern Portfolio Theory the only detraction I can think of is in his foreign exchange section. I don't believe enough breadth was put into this section for the primary reasons.
Yield Curves and the role of the central bank - hardly any mention if at all a mention
An in depth section on Q.E. and it's effects.
ERM - I think there is a small paragraph on it.
Overall though this has been a great reference to learn more about areas I do not have experience in such as commodities.
I will DEFINETLY buy more books of Greg Gliners in the future. Fantastic ability to present new materials.

I'd recommend:
1) Expected Returns: An Investor's Guide to Harvesting Market Rewards by Antti Illmanen
2) Efficiently Inefficient: How Smart Money Invests and Market Prices Are Determined by Lasse Heje Pedersen
Cheers!