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[[The Trade Idea Thesis]]
[[Indicators]]
[[Axioms]]
[[Financial_Dictonary]]
[[The Business Cycle]]
[[Option Strategies]]
[[Technical_analysis]]
Delta: Theoretical estimateof how much option premium change for 1$ move in stock
Gamma: Rate of Change of Delta
Notional exposure of calls/puts = # of options * 100 * strike price
Sharpe Ratio = annualised returns / annualised std dev of portfolio
"" When I want to raise cash I put it into bershire hataways "" ....
declining yield make stock more attractive from a valuation perspective, debt easier to roll over ...
Q1 = Janvier,Fevrier,Mars
Q2 = Avril,May,Juin
Q3 = Juillet,Aout,Septembre
# Defining Macro Environement
- Is Economy expanding / contracting
- Is GDP above or below zero
- What is GDP doing after stripping out inflation ? Above/Below zero ?
- What is the prevailling lvls of interest rates (nominal rate - inflation)
- what are credit spread doing ?
- what are private sector expectation for growth
- What is current monetary policy settings - Expension/Contraction
- What is current fical policy settings Expension/Contraction
- What are foward looking Equity market Valuation doing ?
# Hedge Fund Exemple
- XYZ Fund as 100,000,000 $ as AUM
- Typically hold 25 Long & 25 Short
- Self imposed 2% position limit - no position over 2M
- Charged investor a 2% Management fee and a 20% performance fee thus making 2M in fee and (0.20 * 2M) 4M in performance fee.
- 50% of performance fee reinvested into fund
# 11 Major Sector
| Real Estate | Cyclical |
| Health Care | Value/Defensive |
| Financials | Cyclical |
| Utilities | Value/Defensive |
| Consumer Defensive/Staples | Value/Defensive |
| Consumer Discretionary | Cyclical |
| Communication Services | Cyclical |
| Technology | Growth |
| Materials | Cyclical |
| Energy | Value/Cyclical |
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