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Machine Learning for Trading - Third Edition
book

Machine Learning for Trading - Third Edition

by Stefan Jansen
July 2026
Intermediate
826 pages
30h 11m
English
Packt Publishing
Content preview from Machine Learning for Trading - Third Edition

19

Risk Management

A strategy that survives rigorous cross-validation (Chapter 7), proves stable across regimes (Chapter 8), and avoids the pitfalls of time-series leakage (Chapters 7 and 11) has earned a seat at the table. Portfolio construction (Chapter 17) gave it position sizes; realistic cost modeling (Chapter 18) told us what we actually keep. Yet none of this answers a deceptively simple question: what happens when things go wrong?

Risk management is not a reporting layer bolted on after research. It is system design: a set of constraints, controls, and governance artifacts that define what the strategy is allowed to do when conditions deteriorate. A strategy without explicit risk controls is not a tradable system; it is a hypothesis ...

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Publisher Resources

ISBN: 9781803246970