
001 - Diversified Quant - Mean Reversion + Trend - Simon Mansell
The Algorithmic Advantage
00:00
Mean Reversion Strategies and Risk Management
This chapter explores the strategy of mean reversion in trading, emphasizing the importance of risk management, measuring performance, and building strategies for different market conditions. The speaker also discusses diversification, adjusting position sizes, and incorporating trend into mean reversion strategies.
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