Wed, 8 November 2017
Following on from Episode 149, here’s part two of the interview with Aaron Brown.
To refresh your memory, Aaron is highly regarded as an authority on the subject of risk taking. For the past 30-years he’s worked as a dedicated risk manager, and for the past decade, Aaron was the risk manager for renown quant fund, AQR.
Coming up on this episode, you’ll gain deeper insight to how you can better understand and manage risk for yourself—we go over: Questions traders should be asking themselves, how to leave less money on the table, high win rate verse low win rate strategies, black swans, killing opportunity while trying too hard to prevent disaster. And that’s certainly not all!
Direct download: 150__Aaron_Brown_Pt._2__A_lesson_in_risk_takingwith_the_former_risk_manager_of_a_200B_fund.mp3
Category:trading -- posted at: 6:25pm EDT