Bültmann & Gerriets
Global Macro Trading (Bloom Fi
von Greg Gliner
Verlag: Wiley
Reihe: Bloomberg Financial Nr. 567
Gebundene Ausgabe
ISBN: 978-1-118-36242-6
Erschienen am 16.06.2014
Sprache: Englisch
Format: 236 mm [H] x 156 mm [B] x 32 mm [T]
Gewicht: 632 Gramm
Umfang: 368 Seiten

Preis: 76,50 €
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Biografische Anmerkung
Inhaltsverzeichnis
Klappentext

GREG GLINER most recently worked at AQR Capital Management on the Global Asset Allocation team and as an analyst at Tudor Investment Corporation, a global macro hedge fund focusing on discretionary macro in equities, commodities, foreign exchange, and fixed income. Prior to this, he was with Thracian Capital (a hedge fund seeded by Man Group PLC/GLG), where he was a Portfolio Manager. Gliner also worked at BNP Paribas in their equity derivatives business and was also with Citigroup's Financial Institution Group in investment banking where he was involved in various M&A, equity, and debt transactions. He holds MBAs from Columbia Business School and London Business School, and has a BS and BA from Miami University (OH) in finance and history.

Gliner pledges all personal profits from the sale of this book to charity.



Preface xi
Part One: An Overview of Global Macro
Chapter 1 Surveying the Global Macro Landscape 3
Types of Global Macro Strategies 3
Return Profile and Allocations 6
Hedge Funds and Global Macro 7
Summary 10
Chapter 2 Trading Process, Sizing Trades, and Monitoring Performance 11
Maintaining a Stringent Process 12
Objectivity and Bias 12
Taking Losses 15
Position Sizing 16
Unit Size 17
Volatility Adjusting Position Size 17
Risk/Reward 18
Correlation 19
Gap Risk 20
Position Sizing Sheet 21
Thematic Trade 21
Sharpe Ratio 22
Sortino Ratio 23
Drawdowns 23
Value at Risk (VaR) 23
Risk Utilization 24
Stress-Testing 26
Monitoring Performance 27
Trend Analysis 29
Bloomberg Shortcuts 31
Summary 31
Chapter 3 Back-Tests, Queries, and Analogs 33
Simple Back-Tests and Queries 33
An Example of Building a Query 34
Historical Correlations and Analogs 40
Summary 43
Chapter 4 The Building Blocks of Global Macro Trading: The Importance of Equities, Fixed Income, Foreign Exchange, and Commodities in Global Macro 45
The Four Product Groups 45
Assessing the Relationships between Assets 50
Summary 53
Chapter 5 Technical Analysis 55
Strengths and Weaknesses of Technical Analysis 55
Types of Charts 56
Volume and Open Interest 63
CFTC Positioning 64
Trend 66
Moving Averages 66
Bollinger Bands 67
Reversal Patterns 67
Head and Shoulders 68
Trend Lines 69
Triple Tops and Bottoms 69
Continuation Patterns 70
Triangles 70
Oscillators 71
Elliott Wave Theory 74
Parabolics 80
Seasonals 82
Cycles 83
Crowd Psychology and Contrarian Views 84
Chartered Market Technician (CMT) 87
Bloomberg Shortcuts 88
Summary 89
Chapter 6 Systematic Trading 91
A Brief Definition of Systematic Trading 91
Framework for Constructing a Systematic Model 92
Assets or Product Groups 92
Strategies 93
Factors 97
Risk Factors 98
Risk Premia 99
Risk Parity 100
Summary 103
Part Two: Global Macro Trading Foundation
Chapter 7 Foreign Exchange in Global Macro 107
The Role of the U.S. Dollar 107
Trading Currencies 109
Currency Regimes 111
Valuation Techniques for Foreign Exchange 120
Bloomberg Shortcuts 134
Summary 135
Chapter 8 Equities 137
Equity Indices Overview 137
Equity Derivatives 140
Valuation Techniques for Equities 149
Bloomberg Shortcuts 159
Summary 161
Chapter 9 Fixed Income 163
Funding/Money Markets 163
London Interbank Offered Rate (LIBOR) 170
Interest Rate Swaps 172
Federal (Fed) Funds 172
Overnight Indexed Swaps (OIS) 173
Forward Rate Agreements (FRAs) 176
U.S. Fixed Income Futures 177
Sovereign Credit 180
Sovereign Curve 181
Curve Inversion 181
Credit Default Swaps (CDS) 182
Exchange Traded Funds (ETFs) 187
Bloomberg Shortcuts 188
Summary 194
Chapter 10 Commodities 195
Supply Drivers 196
Demand Drivers 197
Ending Stock 198
Contango and Backwardation 198
CRB Index 200
Return and Volatility 200
Energy 201
Natural Gas 219
Precious Metals 223
Industrial Metals 231
Agriculture 237
Bloomberg Shortcuts 264
Summary 267
Chapter 11 The Role of Central Banks in Global Macro 269
Monetary Policy Goals 269
Tools Used by Central Banks 271
The Impossible Trinity 275
Monetary Base 276
Money Supply 276
Reserves 277
Zero Lower Bound and the Liquidity Trap 279
Quantitative Easing 279
interpreting central bank communication 282
Central Banks 286
Bloomberg Shortcuts 310
Summary 311
Appendix: Fed Programs during the Financial Crisis 311
Chapter 12 Economic Data Releases and Demographics 315
Measuring Growth 315
Inflation 316
Employment and Population 317
Balance of Payments 320
Government Indicators 323
Consumption Indicators 325
Industry and Services Indicators 326
Demographics 329
Bloomberg Shortcuts 333
Summary 334
References 335
About the Author 341
Index 343



Brings global macro trading down to earth for individual and professional traders, investors and asset managers, as well being a useful reference handbook
Global Macro Trading is an indispensable guide for traders and investors who want to trade Global Macro - it provides Trading Strategies and overviews of the four asset classes in Global Macro which include equities, currencies, fixed income and commodities. Greg Gliner, who has worked for some of the largest global macro hedge funds, shares ways in which an array of global macro participants seek to capitalize on this strategy, while also serving as a useful reference tool. Whether you are a retail investor, manage your own portfolio, or a finance professional, this book equips you with the knowledge and skills you need to capitalize in global macro.
* Provides a comprehensive overview of global macro trading, which consists of portfolio construction, risk management, biases and essentials to query building
* Equips the reader with introductions and tools for each of the four asset classes; equities, currencies, fixed income and commodities
* Arms you with a range of powerful global-macro trading and investing strategies, that include introductions to discretionary and systematic macro
* Introduces the role of central banking, importance of global macroeconomic data releases and demographics, as they relate to global macro trading


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