Protect your portfolio, control risk, and optimize returns with proactive strategies designed for active investors.
Markets can reward bold decisions—but they can also punish investors who ignore risk. Volatility, drawdowns, poor diversification, emotional decisions, excessive exposure, liquidity problems, and sudden macroeconomic shocks can quickly damage even a promising portfolio.
Portfolio Risk Management for Active Investors: Optimize Returns by Mastering Risk with Proactive Strategies is a practical guide for traders and active investors who want to build a stronger, smarter, and more resilient investment process.
Instead of focusing only on profits, this book teaches you how to understand risk, measure it, manage it, and integrate it into every investment decision.
Inside, you will discover how to:Understand the foundations of portfolio risk management and why risk is not only a threat, but also a strategic factor
Identify key risks, including market risk, credit risk, interest rate risk, liquidity risk, operational risk, and behavioral risk
Measure portfolio risk using volatility, beta, Value at Risk, Conditional VaR, Sharpe Ratio, Sortino Ratio, and maximum drawdown
Use Modern Portfolio Theory, asset allocation, correlation, diversification, and rebalancing to build more resilient portfolios
Create a personalized risk profile based on financial goals, time horizon, risk tolerance, and investor psychology
Recognize emotional biases such as overconfidence, loss aversion, herd behavior, anchoring, confirmation bias, fear, and greed
Apply advanced strategies such as hedging, options, futures, stop-loss orders, tactical asset allocation, and dynamic risk management
Use stress testing and scenario analysis to prepare for recessions, inflation, market crashes, geopolitical shocks, and sector disruption
Leverage technology, data analytics, algorithmic trading, AI tools, real-time monitoring, and risk management software
Integrate regulatory, ethical, ESG, and fiduciary considerations into a responsible investment strategy
Evaluate performance, adapt strategies, build feedback loops, and continuously improve your portfolio approach
Active investing is not only about finding opportunities. It is about knowing how much risk you are taking, where your portfolio is vulnerable, and how to respond before losses become uncontrollable.
This book helps you think like a disciplined investor: define your goals, measure risk, diversify intelligently, monitor performance, prepare for adverse scenarios, and adjust your strategy as market conditions evolve.
The included 30-Day Action Plan helps you apply the concepts step by step: reviewing your portfolio, measuring risk, improving diversification, identifying psychological biases, testing scenarios, using technology, integrating compliance, and refining your long-term strategy.
This book is ideal for:Active investors who want stronger portfolio protection
Traders seeking better risk-adjusted performance
Stock, ETF, options, futures, forex, and multi-asset investors
Investors who want to understand diversification, VaR, beta, Sharpe Ratio, and stress testing
Anyone ready to stop reacting emotionally and start managing portfolio risk with structure
Returns matter. But risk management determines whether those returns can last.
Start reading today and learn how to manage portfolio risk with clarity, discipline, and confidence.
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Paperback. Condición: new. Paperback. Protect your portfolio, control risk, and optimize returns with proactive strategies designed for active investors.Markets can reward bold decisions-but they can also punish investors who ignore risk. Volatility, drawdowns, poor diversification, emotional decisions, excessive exposure, liquidity problems, and sudden macroeconomic shocks can quickly damage even a promising portfolio.Portfolio Risk Management for Active Investors: Optimize Returns by Mastering Risk with Proactive Strategies is a practical guide for traders and active investors who want to build a stronger, smarter, and more resilient investment process.Instead of focusing only on profits, this book teaches you how to understand risk, measure it, manage it, and integrate it into every investment decision.Inside, you will discover how to: Understand the foundations of portfolio risk management and why risk is not only a threat, but also a strategic factorIdentify key risks, including market risk, credit risk, interest rate risk, liquidity risk, operational risk, and behavioral riskMeasure portfolio risk using volatility, beta, Value at Risk, Conditional VaR, Sharpe Ratio, Sortino Ratio, and maximum drawdownUse Modern Portfolio Theory, asset allocation, correlation, diversification, and rebalancing to build more resilient portfoliosCreate a personalized risk profile based on financial goals, time horizon, risk tolerance, and investor psychologyRecognize emotional biases such as overconfidence, loss aversion, herd behavior, anchoring, confirmation bias, fear, and greedApply advanced strategies such as hedging, options, futures, stop-loss orders, tactical asset allocation, and dynamic risk managementUse stress testing and scenario analysis to prepare for recessions, inflation, market crashes, geopolitical shocks, and sector disruptionLeverage technology, data analytics, algorithmic trading, AI tools, real-time monitoring, and risk management softwareIntegrate regulatory, ethical, ESG, and fiduciary considerations into a responsible investment strategyEvaluate performance, adapt strategies, build feedback loops, and continuously improve your portfolio approachBuild a portfolio that can survive uncertaintyActive investing is not only about finding opportunities. It is about knowing how much risk you are taking, where your portfolio is vulnerable, and how to respond before losses become uncontrollable.This book helps you think like a disciplined investor: define your goals, measure risk, diversify intelligently, monitor performance, prepare for adverse scenarios, and adjust your strategy as market conditions evolve.The included 30-Day Action Plan helps you apply the concepts step by step: reviewing your portfolio, measuring risk, improving diversification, identifying psychological biases, testing scenarios, using technology, integrating compliance, and refining your long-term strategy.This book is ideal for: Active investors who want stronger portfolio protectionTraders seeking better risk-adjusted performanceStock, ETF, options, futures, forex, and multi-asset investorsInvestors who want to understand diversification, VaR, beta, Sharpe Ratio, and stress testingAnyone ready to stop reacting emotionally and start managing portfolio risk with structureReturns matter. But risk management determines whether those returns can last.Start reading today and learn how to manage portfolio risk with clarity, discipline, and confidence. This item is printed on demand. Shipping may be from our UK warehouse or from our Australian or US warehouses, depending on stock availability. Nº de ref. del artículo: 9798192945582
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