Author: Megan Tobias Neely
Publisher: Univ of California Press
ISBN: 0520973801
Category : Business & Economics
Languages : en
Pages : 337
Book Description
A former hedge fund worker takes an ethnographic approach to Wall Street to expose who wins, who loses, and why inequality endures. Who do you think of when you imagine a hedge fund manager? A greedy fraudster, a visionary entrepreneur, a wolf of Wall Street? These tropes capture the public imagination of a successful hedge fund manager. But behind the designer suits, helicopter commutes, and illicit pursuits are the everyday stories of people who work in the hedge fund industry—many of whom don’t realize they fall within the 1 percent that drives the divide between the richest and the rest. With Hedged Out, sociologist and former hedge fund analyst Megan Tobias Neely gives readers an outsider’s insider perspective on Wall Street and its enduring culture of inequality. Hedged Out dives into the upper echelons of Wall Street, where elite white masculinity is the standard measure for the capacity to manage risk and insecurity. Facing an unpredictable and risky stock market, hedge fund workers protect their interests by working long hours and building tight-knit networks with people who look and behave like them. Using ethnographic vignettes and her own industry experience, Neely showcases the voices of managers and other workers to illustrate how this industry of politically mobilized elites excludes people on the basis of race, class, and gender. Neely shows how this system of elite power and privilege not only sustains itself but builds over time as the beneficiaries concentrate their resources. Hedged Out explains why the hedge fund industry generates extreme wealth, why mostly white men benefit, and why reforming Wall Street will create a more equal society.
Hedged Out
Author: Megan Tobias Neely
Publisher: Univ of California Press
ISBN: 0520973801
Category : Business & Economics
Languages : en
Pages : 337
Book Description
A former hedge fund worker takes an ethnographic approach to Wall Street to expose who wins, who loses, and why inequality endures. Who do you think of when you imagine a hedge fund manager? A greedy fraudster, a visionary entrepreneur, a wolf of Wall Street? These tropes capture the public imagination of a successful hedge fund manager. But behind the designer suits, helicopter commutes, and illicit pursuits are the everyday stories of people who work in the hedge fund industry—many of whom don’t realize they fall within the 1 percent that drives the divide between the richest and the rest. With Hedged Out, sociologist and former hedge fund analyst Megan Tobias Neely gives readers an outsider’s insider perspective on Wall Street and its enduring culture of inequality. Hedged Out dives into the upper echelons of Wall Street, where elite white masculinity is the standard measure for the capacity to manage risk and insecurity. Facing an unpredictable and risky stock market, hedge fund workers protect their interests by working long hours and building tight-knit networks with people who look and behave like them. Using ethnographic vignettes and her own industry experience, Neely showcases the voices of managers and other workers to illustrate how this industry of politically mobilized elites excludes people on the basis of race, class, and gender. Neely shows how this system of elite power and privilege not only sustains itself but builds over time as the beneficiaries concentrate their resources. Hedged Out explains why the hedge fund industry generates extreme wealth, why mostly white men benefit, and why reforming Wall Street will create a more equal society.
Publisher: Univ of California Press
ISBN: 0520973801
Category : Business & Economics
Languages : en
Pages : 337
Book Description
A former hedge fund worker takes an ethnographic approach to Wall Street to expose who wins, who loses, and why inequality endures. Who do you think of when you imagine a hedge fund manager? A greedy fraudster, a visionary entrepreneur, a wolf of Wall Street? These tropes capture the public imagination of a successful hedge fund manager. But behind the designer suits, helicopter commutes, and illicit pursuits are the everyday stories of people who work in the hedge fund industry—many of whom don’t realize they fall within the 1 percent that drives the divide between the richest and the rest. With Hedged Out, sociologist and former hedge fund analyst Megan Tobias Neely gives readers an outsider’s insider perspective on Wall Street and its enduring culture of inequality. Hedged Out dives into the upper echelons of Wall Street, where elite white masculinity is the standard measure for the capacity to manage risk and insecurity. Facing an unpredictable and risky stock market, hedge fund workers protect their interests by working long hours and building tight-knit networks with people who look and behave like them. Using ethnographic vignettes and her own industry experience, Neely showcases the voices of managers and other workers to illustrate how this industry of politically mobilized elites excludes people on the basis of race, class, and gender. Neely shows how this system of elite power and privilege not only sustains itself but builds over time as the beneficiaries concentrate their resources. Hedged Out explains why the hedge fund industry generates extreme wealth, why mostly white men benefit, and why reforming Wall Street will create a more equal society.
HEDGED
Author: Juliana Jones
Publisher: CG Holdings
ISBN:
Category : Business & Economics
Languages : en
Pages : 292
Book Description
You wanna take a risk…You better be H E D G E D When she blows up her account in a day trade gone awry, she dives into a morally corrupt abyss of Wall Street to earn it all back, and finds danger with a hedge fund gang member who steals her heart, giving new meaning to the words, "I lost everything." Thank you for the purchase of this book. 5% of all net proceeds are going to Breast Cancer Alliance in honor of the world’s greatest author, Jackie Collins. RIP Jackie, I love you 💕 ”Get Get ready to ride the rails into the depths of hell,” Ex-Trader, anonymous, 8 years in prison ⭐⭐⭐⭐⭐ “QUEEN GAMBIT but for the stock and crypto world.” John Bernstein ⭐⭐⭐⭐⭐ “Can't even believe how a person can lose so much money. Wow.” Jennifer Koswalski ⭐⭐⭐⭐⭐ “A captivating Wall Street thriller that grabs you by the hair and doesn't let go. Couldn't stop reading once I picked it up, loved it. And Noel...WANT.” Linda Feinberg ⭐⭐⭐⭐⭐ “She's a magician with words... really takes you into the Queen's chair of day trading, nothing else out there like it.” Bobby Murphy. ⭐⭐⭐⭐ “A very good read . . .one that will leave you shaken for a very long time. Is this really how the market works?" Kyle H. The book has already hit #1 on Amazon under New Releases and this financial thriller takes you into the queen’s chair of day trading! When Jolette Marco loses everything in a day trade gone awry, she takes a job on a trading floor at a top brokerage firm, dealing with hedge funds and the world’s top 1% of high net worth individuals and investors. When she meets Noel Sheffield, a maverick broker at a rival firm, he takes her under his wing and shows her the real ropes of Wall Street, and how the game is really played. This book takes into account all the manipulation that happens in the Crypto, Stock and NFT markets and shows the retail guy trying to fight Goliath but coming up empty. In the end, the heroine...blows the top off of everything. About The Author: Juliana Jones (Citygirl!) Juliana Jones started her career at Robertson Stephens working in the Venture Capital Group, was promoted to Institutional Sales, and then transferred to New York where she was hired at Morgan Stanley as a Senior Vice President. She ended her career at Carlin Financial, the firm talked about in Michael Lewis’ financial thriller, Flash Boys. CONTACT: Twitter: @citygirlj Instagram: @citygirljuliana Website: www.citygirllovescoffee.com Currently, she is Chief Investment Strategist for a proprietary trading account and runs the esteemed website www.citygirllovescoffee.com 😍 Volatility trader. 💰 She day trades and then tastes lattes ☕️ around the world.
Publisher: CG Holdings
ISBN:
Category : Business & Economics
Languages : en
Pages : 292
Book Description
You wanna take a risk…You better be H E D G E D When she blows up her account in a day trade gone awry, she dives into a morally corrupt abyss of Wall Street to earn it all back, and finds danger with a hedge fund gang member who steals her heart, giving new meaning to the words, "I lost everything." Thank you for the purchase of this book. 5% of all net proceeds are going to Breast Cancer Alliance in honor of the world’s greatest author, Jackie Collins. RIP Jackie, I love you 💕 ”Get Get ready to ride the rails into the depths of hell,” Ex-Trader, anonymous, 8 years in prison ⭐⭐⭐⭐⭐ “QUEEN GAMBIT but for the stock and crypto world.” John Bernstein ⭐⭐⭐⭐⭐ “Can't even believe how a person can lose so much money. Wow.” Jennifer Koswalski ⭐⭐⭐⭐⭐ “A captivating Wall Street thriller that grabs you by the hair and doesn't let go. Couldn't stop reading once I picked it up, loved it. And Noel...WANT.” Linda Feinberg ⭐⭐⭐⭐⭐ “She's a magician with words... really takes you into the Queen's chair of day trading, nothing else out there like it.” Bobby Murphy. ⭐⭐⭐⭐ “A very good read . . .one that will leave you shaken for a very long time. Is this really how the market works?" Kyle H. The book has already hit #1 on Amazon under New Releases and this financial thriller takes you into the queen’s chair of day trading! When Jolette Marco loses everything in a day trade gone awry, she takes a job on a trading floor at a top brokerage firm, dealing with hedge funds and the world’s top 1% of high net worth individuals and investors. When she meets Noel Sheffield, a maverick broker at a rival firm, he takes her under his wing and shows her the real ropes of Wall Street, and how the game is really played. This book takes into account all the manipulation that happens in the Crypto, Stock and NFT markets and shows the retail guy trying to fight Goliath but coming up empty. In the end, the heroine...blows the top off of everything. About The Author: Juliana Jones (Citygirl!) Juliana Jones started her career at Robertson Stephens working in the Venture Capital Group, was promoted to Institutional Sales, and then transferred to New York where she was hired at Morgan Stanley as a Senior Vice President. She ended her career at Carlin Financial, the firm talked about in Michael Lewis’ financial thriller, Flash Boys. CONTACT: Twitter: @citygirlj Instagram: @citygirljuliana Website: www.citygirllovescoffee.com Currently, she is Chief Investment Strategist for a proprietary trading account and runs the esteemed website www.citygirllovescoffee.com 😍 Volatility trader. 💰 She day trades and then tastes lattes ☕️ around the world.
Crunch Time
Author: Aliya Hamid Rao
Publisher: University of California Press
ISBN: 0520298608
Category : Social Science
Languages : en
Pages : 308
Book Description
In Crunch Time, Aliya Hamid Rao gets up close and personal with college-educated, unemployed men, women, and spouses to explain how comparable men and women have starkly different experiences of unemployment. Traditionally gendered understandings of work—that it’s a requirement for men and optional for women—loom large in this process, even for marriages that had been not organized in gender-traditional ways. These beliefs serve to make men’s unemployment an urgent problem, while women’s unemployment—cocooned within a narrative of staying at home—is almost a non-issue. Crunch Time reveals the minutiae of how gendered norms and behaviors are actively maintained by spouses at a time when they could be dismantled, and how gender is central to the ways couples react to and make sense of unemployment.
Publisher: University of California Press
ISBN: 0520298608
Category : Social Science
Languages : en
Pages : 308
Book Description
In Crunch Time, Aliya Hamid Rao gets up close and personal with college-educated, unemployed men, women, and spouses to explain how comparable men and women have starkly different experiences of unemployment. Traditionally gendered understandings of work—that it’s a requirement for men and optional for women—loom large in this process, even for marriages that had been not organized in gender-traditional ways. These beliefs serve to make men’s unemployment an urgent problem, while women’s unemployment—cocooned within a narrative of staying at home—is almost a non-issue. Crunch Time reveals the minutiae of how gendered norms and behaviors are actively maintained by spouses at a time when they could be dismantled, and how gender is central to the ways couples react to and make sense of unemployment.
Buy and Hedge
Author: Jay Pestrichelli
Publisher: FT Press
ISBN: 0132825279
Category : Business & Economics
Languages : en
Pages : 305
Book Description
If you're trying to build wealth, sharp market downturns are your worst enemy. And today, they're happening far more often: in the last 18 years, the S&P 500 has experienced sixteen violent market declines. Institutions and professional investors have mastered powerful hedging strategies for dramatically reducing the risks of market volatility. Now, you can do it, too--and you can't afford not to. In Buy and Hedge , two leading investment experts show how to apply hedging as part of a long-term program for growing and preserving your assets. CNBC Fast Money guest Jay Pestrichelli and seasoned financial industry veteran Wayne Ferbert show how to systematically protect yourself against violent downward moves while giving your portfolio maximum room to run in upward markets. The authors' techniques are easy to use, can be applied to most investment vehicles, and require surprisingly little "care and feeding" once implemented. You'll discover how to: · Take advantage of the hedge-building mechanisms built into low-cost index funds · Invest in your ideas with confidence, because you've hedged the downside · Systematically manage portfolios for risk as well as return · Master and apply the "5 Iron Rules of Buy & Hedge” · Use options to manage risk, not to create excess leverage · Generate more dividends · Effectively manage cash
Publisher: FT Press
ISBN: 0132825279
Category : Business & Economics
Languages : en
Pages : 305
Book Description
If you're trying to build wealth, sharp market downturns are your worst enemy. And today, they're happening far more often: in the last 18 years, the S&P 500 has experienced sixteen violent market declines. Institutions and professional investors have mastered powerful hedging strategies for dramatically reducing the risks of market volatility. Now, you can do it, too--and you can't afford not to. In Buy and Hedge , two leading investment experts show how to apply hedging as part of a long-term program for growing and preserving your assets. CNBC Fast Money guest Jay Pestrichelli and seasoned financial industry veteran Wayne Ferbert show how to systematically protect yourself against violent downward moves while giving your portfolio maximum room to run in upward markets. The authors' techniques are easy to use, can be applied to most investment vehicles, and require surprisingly little "care and feeding" once implemented. You'll discover how to: · Take advantage of the hedge-building mechanisms built into low-cost index funds · Invest in your ideas with confidence, because you've hedged the downside · Systematically manage portfolios for risk as well as return · Master and apply the "5 Iron Rules of Buy & Hedge” · Use options to manage risk, not to create excess leverage · Generate more dividends · Effectively manage cash
The Sharpe Ratio
Author: Steven E. Pav
Publisher: CRC Press
ISBN: 1000442764
Category : Business & Economics
Languages : en
Pages : 353
Book Description
The Sharpe Ratio: Statistics and Applications is the most widely used metric for comparing the performance of financial assets. The Markowitz portfolio is the portfolio with the highest Sharpe ratio. The Sharpe Ratio: Statistics and Applications examines the statistical properties of the Sharpe ratio and Markowitz portfolio, both under the simplifying assumption of Gaussian returns, and asymptotically. Connections are drawn between the financial measures and classical statistics including Student's t, Hotelling's T^2 and the Hotelling-Lawley trace. The robustness of these statistics to heteroskedasticity, autocorrelation, fat tails and skew of returns are considered. The construction of portfolios to maximize the Sharpe is expanded from the usual static unconditional model to include subspace constraints, hedging out assets, and the use of conditioning information on both expected returns and risk. The Sharpe Ratio: Statistics and Applications is the most comprehensive treatment of the statistical properties of the Sharpe ratio and Markowitz portfolio ever published. Features: 1. Material on single asset problems, market timing, unconditional and conditional portfolio problems, hedged portfolios. 2. Inference via both Frequentist and Bayesian paradigms. 3. A comprehensive treatment of overoptimism and overfitting of trading strategies. 4. Advice on backtesting strategies. 5. Dozens of examples and hundreds of exercises for self study. The Sharpe Ratio: Statistics and Applications is an essential reference for the practicing quant strategist and the researcher alike, and an invaluable textbook for the student.
Publisher: CRC Press
ISBN: 1000442764
Category : Business & Economics
Languages : en
Pages : 353
Book Description
The Sharpe Ratio: Statistics and Applications is the most widely used metric for comparing the performance of financial assets. The Markowitz portfolio is the portfolio with the highest Sharpe ratio. The Sharpe Ratio: Statistics and Applications examines the statistical properties of the Sharpe ratio and Markowitz portfolio, both under the simplifying assumption of Gaussian returns, and asymptotically. Connections are drawn between the financial measures and classical statistics including Student's t, Hotelling's T^2 and the Hotelling-Lawley trace. The robustness of these statistics to heteroskedasticity, autocorrelation, fat tails and skew of returns are considered. The construction of portfolios to maximize the Sharpe is expanded from the usual static unconditional model to include subspace constraints, hedging out assets, and the use of conditioning information on both expected returns and risk. The Sharpe Ratio: Statistics and Applications is the most comprehensive treatment of the statistical properties of the Sharpe ratio and Markowitz portfolio ever published. Features: 1. Material on single asset problems, market timing, unconditional and conditional portfolio problems, hedged portfolios. 2. Inference via both Frequentist and Bayesian paradigms. 3. A comprehensive treatment of overoptimism and overfitting of trading strategies. 4. Advice on backtesting strategies. 5. Dozens of examples and hundreds of exercises for self study. The Sharpe Ratio: Statistics and Applications is an essential reference for the practicing quant strategist and the researcher alike, and an invaluable textbook for the student.
Diary of a Hedge Fund Manager
Author: Keith McCullough
Publisher: John Wiley & Sons
ISBN: 1118017021
Category : Business & Economics
Languages : en
Pages : 224
Book Description
A fast-paced ride through the world of hedge funds revealing the unvarnished truth of how Wall Street really operates, and how to use this to your advantage An insider's view of the high stakes world of money management, Diary of a Hedge Fund Manager is both a practical guide for investors and the deeply personal story of a man who knows the system inside and out. One of the best young portfolio managers on Wall Street, and helping to run the hedge fund operation of one of the world's most prestigious firms, Keith McCullough finds himself a lone voice of reason as the economic crisis of 2008 looms large. Shown the door, his life takes a fascinating turn into the world of independent research and no-holds-barred criticism. Reveals the unvarnished truth of how Wall Street and hedge funds really operate Deftly details how to analyze the markets expertly and avoid group think using technical and fundamental measures Each topic is thoroughly discussed and followed up with lessons you can take away and put to use Written with the authority of someone who knows how Wall Street and hedge funds work, yet accessible to even a casual follower of finance, Diary of a Hedge Fund Manager mixes a constructive critique of the investment industry with fundamental lessons that any investor will find valuable.
Publisher: John Wiley & Sons
ISBN: 1118017021
Category : Business & Economics
Languages : en
Pages : 224
Book Description
A fast-paced ride through the world of hedge funds revealing the unvarnished truth of how Wall Street really operates, and how to use this to your advantage An insider's view of the high stakes world of money management, Diary of a Hedge Fund Manager is both a practical guide for investors and the deeply personal story of a man who knows the system inside and out. One of the best young portfolio managers on Wall Street, and helping to run the hedge fund operation of one of the world's most prestigious firms, Keith McCullough finds himself a lone voice of reason as the economic crisis of 2008 looms large. Shown the door, his life takes a fascinating turn into the world of independent research and no-holds-barred criticism. Reveals the unvarnished truth of how Wall Street and hedge funds really operate Deftly details how to analyze the markets expertly and avoid group think using technical and fundamental measures Each topic is thoroughly discussed and followed up with lessons you can take away and put to use Written with the authority of someone who knows how Wall Street and hedge funds work, yet accessible to even a casual follower of finance, Diary of a Hedge Fund Manager mixes a constructive critique of the investment industry with fundamental lessons that any investor will find valuable.
Hours at Home
Author:
Publisher:
ISBN:
Category : Theology
Languages : en
Pages : 594
Book Description
Publisher:
ISBN:
Category : Theology
Languages : en
Pages : 594
Book Description
Fixed Income Trading and Risk Management
Author: Alexander During
Publisher: John Wiley & Sons
ISBN: 1119756340
Category : Business & Economics
Languages : en
Pages : 465
Book Description
A unique, authoritative, and comprehensive treatment of fixed income markets Fixed Income Trading and Risk Management: The Complete Guide delivers a comprehensive and innovative exposition of fixed income markets. Written by European Central Bank portfolio manager Alexander During, this book takes a practical view of how several different national fixed income markets operate in detail. The book presents common theoretical models but adds a lot of information on the actually observed behavior of real markets. You’ll benefit from the book’s: Fulsome overview of money, credit, and monetary policy Description of cash instruments, inflation-linked debt, and credit claims Analysis of derivative instruments, standard trading strategies, and data analysis In-depth focus on risk management in fixed income markets Perfect for new and junior staff in financial institutions working in sales and trading, risk management, back office operations, and portfolio management positions, Fixed Income Trading and Risk Management also belongs on the bookshelves of research analysts and postgraduate students in finance, economics, or MBA programs.
Publisher: John Wiley & Sons
ISBN: 1119756340
Category : Business & Economics
Languages : en
Pages : 465
Book Description
A unique, authoritative, and comprehensive treatment of fixed income markets Fixed Income Trading and Risk Management: The Complete Guide delivers a comprehensive and innovative exposition of fixed income markets. Written by European Central Bank portfolio manager Alexander During, this book takes a practical view of how several different national fixed income markets operate in detail. The book presents common theoretical models but adds a lot of information on the actually observed behavior of real markets. You’ll benefit from the book’s: Fulsome overview of money, credit, and monetary policy Description of cash instruments, inflation-linked debt, and credit claims Analysis of derivative instruments, standard trading strategies, and data analysis In-depth focus on risk management in fixed income markets Perfect for new and junior staff in financial institutions working in sales and trading, risk management, back office operations, and portfolio management positions, Fixed Income Trading and Risk Management also belongs on the bookshelves of research analysts and postgraduate students in finance, economics, or MBA programs.
Federal Register
Author:
Publisher:
ISBN:
Category : Administrative law
Languages : en
Pages : 934
Book Description
Publisher:
ISBN:
Category : Administrative law
Languages : en
Pages : 934
Book Description
A History of Gardening in England
Author: Mrs. Evelyn Cecil
Publisher:
ISBN:
Category : Gardening
Languages : en
Pages : 426
Book Description
Publisher:
ISBN:
Category : Gardening
Languages : en
Pages : 426
Book Description