Succeeding in the financial markets requires a mastery of many disciplines. Mastery begins with understanding the actors, rules, and dynamics, and the ways in which they interact. This volume, the last of a 4-volume series, presents a broad perspective on key subjects such as regulation and compliance, risk and ways to mitigate it, and the directions in which trading markets might evolve. Like its predecessors, it presents alternative versions of the future: will the sell side or buy side come to dominate, for example, and how might new technologies shape global markets? Mastery of the financial markets begins with its authoritative, heavily illustrated presentation. Presents a high-level view of global financial markets, including institutions, instruments, and dynamic interactions Describes the assumptions and expectations of market participants Heavily illustrated so readers can easily understand advanced materialsMr. Taleb popularized the work of BenoArt B. Mandelbrot, late of IBMa#39;s Thomas J. Watson Research Center. A researcher of mathematical concepts, Dr. Mandelbrot, among other important concepts, postulated that financial markets do not followanbsp;...
|Title||:||An Introduction to Trading in the Financial Markets: Global Markets, Risk, Compliance, and Regulation|
|Author||:||R. Tee Williams|
|Publisher||:||Academic Press - 2010-02-12|