1/2 Random risk thoughts. - Loss cutting is key, but at what level? Recently, seems wider stops are needed; ideal thresh may b changing over time, needMoreData - Hard2know if a stock drop is abnormal; need models. Rebalancing can distort. - Risk exposure not obvious; I own
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I guess what I’m saying is that the pure quant viewpoint (only use a stop loss if you believe the momentum factor has positive EV) might not be completely correct — don’t have a good explanation or a model for that, just a hunch.
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We're usually trading based on a knowingly over-simplified model of the world. I think a stop rule may be as good a way as any to estimate when your model assumptions are "too wrong to trade". i.e. its a useful way to trade model risk.
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one of the only things about behavioral econ i take seriously is that people let losses run too much and take winners off the table prematurely (Despite momentum being a thing), so working with some kind of loss-cutting framework encourages you to reverse that
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that being said the observed path looks horrible despite it working, couple big winners, bunch of winners that turn into losers or lesser winners and a bunch of small losses.
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Doesn't the "it controls risk" argument requires you to believe the future return dist for the exposure you puked are conditionally different/worse than the next one to replace it? (Assuming the simple case) Which I guess is usually in the risk model. (clustering etc)
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I don’t think so? Having a truncated left tail and a big right tail might be a good thing even if your EV is lower (ie you are trading off some first moment in exchange for some third moment).
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This makes a lot of sense;i like the "traderView" since it is simple, and prevents me from overly believing in a strat even if it's failing. Downside is, increases risk you get shaken out from vol, commit type2 error. When I do more statistical trading,will incorporate quantView
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