Tag Archives: #systemtrading
Investment Management: Why You Need A Complete Rethink. Part 4 – Active Asset Management. Further Steps To RVAR Improvement.
In Part 4 I will show what I believe is the path to further improvements to RVAR through making a shift to Active Asset Management with tactical allocation models. The case for a further improvements in RVAR from Active Asset … Continue reading
Nominal GDP reveals the failure of economic policy Germany’s Finance Minister explains Guardian Suggests Central Banks stand aside Growing list of dissenters isolates the Fed on rate rises ECRI explains that the economic cycle turned down 9 months ago Crucial to … Continue reading
Fundamental data, news, and financial markets are supposed to be highly related in a way that makes sense and can be read by skilled financial experts, and converted into profitable investment and trading actions. To a great extent that used … Continue reading