

150: Aaron Brown, Pt. 2 – A Lesson in Risk Taking—with the Former Risk Manager of a $200B Fund
7 snips Nov 9, 2017
Chapters
Transcript
Episode notes
1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22
Introduction
00:00 • 5min
Are You a Risk Avoidor?
05:02 • 2min
How Can Traders Become More Comfortable With Risk?
06:55 • 2min
Is That Something You Do Consciously?
09:23 • 2min
How to Be a Good Risk Taker
11:33 • 2min
The Key Moment in a Career as a Trader
13:29 • 2min
How Much Does It Make if You're Wrong?
15:54 • 2min
Is Your Attitude Towards Risk More Important Than on the Upside?
18:19 • 2min
Traders Leave a Lot of Money on the Table
20:01 • 3min
Is There Any Theory Behind Which Strategy Is Better?
23:14 • 5min
Chat With Traders Podcast - Slash Chat Support
28:02 • 4min
Taking Advantage of Unexpected Events
31:59 • 3min
Risk Managers Are Not There to Prevent Disaster
35:14 • 3min
What Separates Good Risk Taken From Reckless Risk Taking?
38:26 • 3min
What Are Your Thoughts on the Different Types of Risk Models?
41:40 • 3min
The Value It Risk Is the Diving Line
44:37 • 5min
Is Var or Value at Risk More Useful for an Independent Trader?
49:24 • 3min
Financial Risk Management for Dummies
51:58 • 2min
Financial Risk Management for Dummies
53:35 • 2min
How Much Can You Lose on a Coin Flip?
55:41 • 5min
Yourei Don't Hold Out Much Hope for Your Trading Career
01:00:18 • 3min
Chat With Traders - Episode 2
01:02:57 • 2min