Category: risk management

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Commodity Trading Advisor risk management

The Importance of Losing in Trading and Investing

I think this article on trading and the markets will slightly differ from anything you have read in that the main focus is “Losing.”  So, why an article on losing? First, I believe that people learn the most from their mistakes or through adversity if they are willing to open their eyes and confront what’s […]

risk management

How to Measure the Edge of Your Trading Entry Signals

When a CTA or Money Manager is testing or back-testing their entry signals, one of the most important aspects they look at is if the technique’s they are using has a distinct “edge” for the time frame they are trading (short-term, swing, long-term, etc.). Understanding MAE and MFE Positive price movement is when the market […]

Commodity Trading Advisor CTA Managed Futures Managed Futures Education Resources risk management

Navigating Investment Choices in a Volatile Market

The stock market just hit an all time high and real estate values continue rising rapidly. Investors could not be happier. The day I refer to, of course, is October 9, 2007 when the S&P closed at its new record of 1565.15. What followed was a bull run in commodities culminating on July 11, 2008 when oil hit its high of $147.27 on dollar weakness and insatiable raw material demand from China. By January of 2009, oil dropped to almost $30 a barrel, the dollar was much stronger as seemingly everyone flocked to its perceived safety, and the worldwide economy would begin digging out slowly from the depths of the credit crisis. The S&P would drop below 700 points.

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