A New Volatility Trading Strategy — Full Guide in Python.

Creating a Simple Volatility Indicator in Python & Back-testing a Mean-Reversion Strategy.

Sofien Kaabar, CFA

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Trading is a combination of four things, research, implementation, risk management, and post-trade evaluation. The bulk of what we spend our time doing is the first two, meaning that we spend the vast majority of the time searching for a profitable strategy and implementing it (i.e. trading). This article deals with a risk indicator that can also be used to give out trading signals.

I have just released a new book after the success of the previous book. It features advanced trend following indicators and strategies with a GitHub page dedicated to the continuously updated code. Also, this book features the original colors after having optimized for printing costs. If you feel that this interests you, feel free to visit the below Amazon link, or if you prefer to buy the PDF version, you could contact me on LinkedIn.

Introduction to Volatility

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Sofien Kaabar, CFA
Sofien Kaabar, CFA

Written by Sofien Kaabar, CFA

Top writer in Finance, Investing, Business | Trader & Author | Bookstore: https://sofienkaabar.myshopify.com/

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