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OI03: The inner workings of a High-Frequency Strategy ft. Anant Jatia

Top Traders Unplugged

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Portfolio Diversification and Risk Allocation

This chapter explores the approach to portfolio diversification in high-frequency trading strategies, emphasizing the importance of independent spread relationships, static risk allocation, and considering covariance and tail risks. It also discusses automated drawdown controls and managing negative tail events to mitigate losses.

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