Mark Melin is an alternative investment practitioner whose specialty is recognizing the impact of beta market environment on a technical trading strategy. A portfolio and industry consultant, wrote or edited three books including High Performance Managed Futures (Wiley 2010) and The Chicago Board of Trade’s Handbook of Futures and Options (McGraw-Hill 2008) and taught a course at Northwestern University's executive education program.
Marko Kolanovic, Ph.D., the Global Head, Derivative and Quantitative Strategies at JPMorgan, had an eventful week. It started last Friday with probably one of the more insightful and useful... Read More
Private funds operators are not exactly falling over themselves to take advantage of the newfound permissions to market their offerings to the public under the JOBS Act, according to... Read More
Which Are The Best Paying Jobs Across The World's Top Cities? by Emolument.com
New York, London, Paris, Zurich
Many professionals at some point in their career will come across an opportunity... Read More
Facebook Inc (NASDAQ:FB) released its earnings report for the three months through September this afternoon after the market closed in New York. The company showed earnings per share of... Read More
US Federal Prosecutors have steadily upped their enforcement of Wall Street crime since the 2008 financial crisis, with a case in Connecticut offering the latest example. While insider trading... Read More
Larry Tabb, founder and CEO of the Tabb Group, has a bone to pick with US Senator Carl Levin over high frequency trading (HFT).
HFT issues: Eliminating payment for order... Read More
Below is an excerpt from an interview with value fund Dane Capital, a New York-based hedge fund, with a long-biased, concentrated portfolio, that is noteworthy for its active participation... Read More