Strategic Money Management: Quantitative Methods to Size Positions, Manage Risk, and Compound Wealth
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Strategic Money Management: Quantitative Methods to Size Positions, Manage Risk, and Compound Wealth

by Gilles Santacreu

Investing Risk Management Quantitative Finance
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Learn quantitative methods to size positions, manage risk, and compound wealth with strategic money management techniques.

About This Book

Strategic Money Management presents quantitative methods for position sizing and risk management.

The book focuses on techniques to help compound wealth through disciplined financial strategies.

Readers can explore systematic approaches to managing investment risk and portfolio decisions.

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I will be using this book for: