Podchaser Logo
Home
145: Protecting capital through proper risk management with Aaron Brown

145: Protecting capital through proper risk management with Aaron Brown

Released Sunday, 15th April 2018
Good episode? Give it some love!
145: Protecting capital through proper risk management with Aaron Brown

145: Protecting capital through proper risk management with Aaron Brown

145: Protecting capital through proper risk management with Aaron Brown

145: Protecting capital through proper risk management with Aaron Brown

Sunday, 15th April 2018
Good episode? Give it some love!
Rate Episode

I think it’s pretty safe to say we’ve had some interesting times in the markets so far this year.

There has been an increase in uncertainty, higher volatility and even outside of the markets there have been a number of events that seem to be impacting the markets.

Some traders may be seeing the current market environment as riskier than it has been in the recent past, while other traders may be enjoying the increased opportunity, but whichever way you look at it, there is something that all traders need to consider if they want to last a long time in this business, and that is how to protect capital through proper risk management.

The guest on the show this episode is risk management expert Aaron Brown, who has worked for JP Morgan, Morgan Stanley and even spent 10 years as risk manager for quant based hedge fund AQR.

In our chat today we’re going to cover some interesting and practical aspects of Risk and Risk Management, and how we can plan for and protect ourselves, which you may find incredibly timely given recent market developments. Some of the things you’ll discover in my chat with Aaron are:

  • The biggest misconception about risk and how traders should really be looking at risk instead,
  • Why low volatility environments can be riskier than high volatility environments,
  • One of the biggest risks to the markets that can impact everyone and can be hard to measure and how to plan for it,
  • How traders should approach drawdown management,
  • Why correlations are ‘mythical’ and the right way to think about financial markets,
  • Risks in the markets today

 

Disclaimer:
Trading in the financial markets involves a substantial risk of loss and is not suitable for everyone. All content produced by Better System Trader is for informational or educational purposes only and does not constitute trading or investment advice. Past performance is not necessarily indicative of future results.

Show More

Unlock more with Podchaser Pro

  • Audience Insights
  • Contact Information
  • Demographics
  • Charts
  • Sponsor History
  • and More!
Pro Features