New York Super Conference 2016 Videos
$179.00
You Just Pay : $179
- Description
Description
New York Super Conference 2016 Videos
Sale Page: https://itpm.myshopify.com
Files of Product : http://imgur.com/a/LDw9M
NY 1 – Raj Malhotra: Pricing Options Like a Market Maker
Video size: 43 Minutes
As an Options Trader, Raj Malhotra has had probably the most profitable careers on Wall Street in latest historical past. Raj turned the pinnacle of Index Options Trading and head of Institutional Options Trading at Bank of America and was additionally promoted to Managing Director earlier than the age of 30.
In this Seminar, Raj helps Retail Traders to grasp each the motivations of Options Market Makers and why and the way they value Volatility and Options in the way in which they do. Understanding that is of essential significance to any investor or dealer. This is as a result of when seeking to categorical Trade Ideas or Positions utilizing Options, firstly they should know if the Options costs and subsequently the value of Volatility are a good and correct reflection of actuality. By understanding this, they’re much less prone to get “ripped off” by an Options Market Maker. Secondly, understanding how Options Market Makers function and value Volatility and Options helps traders and merchants get an edge over the Market Markers (Brokerage Platforms) by realising when mispricings of Options happen to allow them to make the most of them.
This seminar is particularly helpful for Retail Traders in each the U.S. and Canada the place Retail Brokerage platforms are most steadily used to precise Trade Ideas and Positions utilizing Options. 80% of Retail Traders lose cash on these platforms as a result of they don’t perceive methods to Price Options Like a Market Maker. Until NOW!
NY 2 – Christopher Quill: How To Calculate Realized & Implied Volatility and Why it’s Important
Video size: 40 Minutes
After being a part of the staff at Ruffer Asset Management in London that generated the primary Japanese Equity Fund Returns Globally, Christopher Quill joined the Institute as head of Statistics and Research. Known by his colleagues and Traders on the Institute as “Mr Excel,” Chris’ experience lies in managing Big Data and constructing then breaking down complicated Statistical Models and Spreadsheets that simplify processes in order that anybody can perceive and use his assets.
In this Seminar Chris enhances the presentation of Raj Malhotra (Pricing Options Like a Market Maker) by going into the element of methods to mechanically calculate Volatility for your self utilizing the downloadable Spreadsheet and PDF information that accompanies his Seminar. When seeking to categorical Trade Ideas or Positions utilizing Options, firstly traders and merchants have to know if the Options costs they obtain on Brokerage Platforms and subsequently the value of Volatility are a good and correct reflection of actuality. By understanding this, they’re much less prone to get “ripped off” by an Options Market Maker. Secondly, understanding methods to value Options for themselves and subsequently value Volatility helps traders and merchants get an edge over the Market Markers (Brokerage Platforms) by realising when mispricing’s of Options happen to allow them to make the most of them.
This seminar is particularly helpful for Retail Traders in each the U.S. and Canada the place Retail Brokerage platforms are most steadily used to precise Trade Ideas and Positions utilizing Options. 80% of Retail Traders lose cash on these platforms as a result of they don’t perceive How To Calculate Realized & Implied Volatility and Why it’s Important Until NOW!
NY 3 – Gregoire Dupont: Day Trading in Equities and FOREX – Viability Assessment
Video size: 32 Minutes
Gregoire has loved a profitable 15-year profession as a Professional Trader beginning as a money fairness dealer after which as a fund supervisor for Pierre Charon Gestion and Day Trade Asset Management in Paris. In 2004, he joined Griffin Capital Management in London as a European Fund Manager for his or her lengthy solely fund and in a while their lengthy/quick fund.
At its peak, the Griffin Western European Team was managing greater than $500mln with Gregoire specializing in a multi-disciplinary systematic strategy together with fundamentals, technicals, value motion buying and selling and correlation hedging. For the final six years, Gregoire has been a Proprietary Trader in London at Infinity Capital Markets with a multi-strategy mandate.
In this Video Gregoire teaches Retail Trader college students of the Institute methods to put together and execute a correct buying and selling plan. Literally 1000’s of books have been written about buying and selling plans. However Gregoire believes that the overwhelming majority of those books completely miss the purpose of a buying and selling plan and should not really viable and executable in the true world. Flexibility in your buying and selling plan is vital and Gregoire exhibits you what you have to be specializing in to realize this.
NY 4 – Dr Christopher Cathey: How to Trade Initial Public Offerings (IPO’s)
Video size: 24 Minutes
Dr Christopher Cathey loved a profitable 15-year profession as a Professional Trader. After finishing a first-class diploma in Natural Sciences and acquiring his PhD in Chemistry from Fitzwilliam College Cambridge, Chris was employed by Goldman Sachs. Chris labored for Goldman Sachs as an Equities Trader in Frankfurt, New York and London between 1993 and 2006. He then labored as a proprietary dealer at Merrill Lynch Strategic Investments Group between 2006 and 2008.
During his Career Chris was the most important Market Maker and Proprietary Trader of NASDAQ listed Stocks for Goldman Sachs in New York. Subsequently Chris was instrumental within the Initial Public choices of a number of tech corporations throughout essentially the most unstable interval in Financial Markets since The Wall Street Crash of the 1920’s i.e. the Tech increase and bust. As an knowledgeable in IPO’s on this Seminar, Chris exhibits Institute college students methods to successfully appraise alternatives and danger and in IPO’s and methods to go about buying and selling them. IPO methods are a authentic manner of including vital returns to an traders / dealer’s portfolio, nonetheless they will also be dangerous if traders and merchants have no idea what they’re doing. Chris shows how what these dangers are and methods to keep away from IPO’s that exhibit these dangers, methods to spot opportunistic IPO’s and the mechanics of how an IPO really works behind the scenes on the prime Investment Banks globally.
NY 5 – Hichem Djouhri: Optimal Overwriting Strategies for Hedging 401Ok & IRA Portfolios
Video size: 14 Minutes
Hichem Djouhri is the main Fund Manager within the Middle East North Africa (MENA) Region, based mostly at SHUAA Asset Management in Dubai. Hichem’s day-to-day function at SHUAA Asset Management entails operating the portfolio and fund administration staff with over $450 million in Assets Under Management (AUM) and managing for SHUAA each the Arab Gateway Fund (+210% since inception) and the Emirates Gateway Fund (+415% since inception). His constant outperformance of all benchmarks has gained his staff at SHUAA a number of awards as Best UAE Asset Manager, Best UAE Equity Fund (yearly since 2010) and Best Regional Asset Manager in 2014. Due to his efficiency, and aged simply 30 years previous, Hichem is widely-recognised within the trade as probably the most gifted younger Fund Managers worldwide.
In this seminar Hichem reveals one of many secrets and techniques to his success: how he aggressively hedges portfolios utilizing Options Overwriting Strategies and generates giant extra returns from the additional revenue these methods present. Hichem guides the viewer by a number of examples of how that is accomplished, each theoretically and virtually. This seminar is particularly helpful for Retail Traders which have Long Only Portfolios i.e. most often Pensions. In the United States 401Ok and IRA Portfolios are Long Only. International traders and merchants with Long Only Portfolios may even discover this seminar extremely helpful as a result of Long Only Pension Fund Managers globally are typically not in a position to hedge their consumer’s portfolios utilizing Options overwriting methods resulting from their mandates. By understanding and making use of these methods themselves, Retail Traders can over a time frame hedge their Long Only Portfolios and Pensions and may add vital worth to their total returns and wealth. It is of significant significance that people understand how to do that correctly. They should perceive the dangers and alternatives of those methods and be taught and mentored by somebody like Hichem who has a confirmed observe document of deploying these methods efficiently over a few years. In this seminar, Hichem shows how people can replicate these methods responsibly.
NY 6 – Jason McDonald: Why Shorts are Hard to Find and How You Can Find Great Shorts
Video size: 45 Minutes
In this seminar, former Hedge Fund Manager and Professional Proprietary dealer, Jason McDonald, assaults probably the most widespread challenges that each one traders and merchants – whether or not they be Retail or Professional – persistently have with their portfolios i.e. How to search out GREAT shorts. In a GDP progress surroundings, the earnings of corporations obtain a Macroeconomic tailwind and subsequently most publicly traded corporations have constructive earnings (generate income). This is likely one of the the reason why at anyone specific time it’s at all times troublesome to search out GREAT shorts and subsequently hedge out portfolio danger and / or make an absolute return by shorting shares. Process additionally performs an vital function to find GREAT shorts. Retail Traders usually don’t perceive the processes required to scan tens of 1000’s of shares for potential Short alternatives in a scientific method.
Jason tackles each of those points and exhibits viewers of his seminar methods to go about discovering GREAT shorts even in an unfavourable GDP progress surroundings and descriptions the processes required for locating GREAT shorts utilising a scientific course of.
NY 7 – Tristan Edwards: Matching Personality to Process
Video size: 19 Minutes
During a profitable profession as a Professional Trader / Hedge Fund Manager, Tristan Edwards labored for Goldman Sachs Asset Management (GSAM), Brevan Howard and Trafalgar Capital earlier than organising his personal Hedge Fund and operating it out of Singapore in 2013. Tristan was the one Hedge Fund Manager in Asia to boost over $100mln from traders in 2013 for his fund.
In this seminar, Tristan presents on the subject that he’s most enthusiastic about i.e. Matching Personality to Process. There are a number of methods of earning money in Financial Markets over a number of time horizons and a number of methods. Many traders and merchants even on the skilled stage by no means genuinely discover their area of interest inside monetary markets i.e. what they take pleasure in and what they’re good at by way of course of and by way of optimising their skills for optimum returns and wealth. Tristan has skilled this primary hand by experiencing all kinds of methods and time horizons throughout his profession, earlier than discovering his area of interest as one of many world’s most profitable Long / Short Portfolio managers globally. Tristan was one of many solely managers globally within the 2008-2009 monetary disaster that achieved consecutive double digit returns share returns in each years – a feat achieved by only one% of Hedge Fund Managers globally.
This seminar is especially helpful for Retail Traders who’re both beginning out and try to determine the place they need to focus their energies by way of studying and in addition for knowledgeable Retail Traders which are struggling to get constant returns and discovering their area of interest.