Archive for January, 2014

Klarman’s Margin of Safety: Ch.13 – Part 3

by
January 13, 2014

This is a continuation in our series of portfolio construction & management highlights extracted from Seth Klarman’s Margin of Safety. In Chapter 13 (Portfolio Management and Trading) – Part 3 below, Klarman shares his thoughts on a number of portfolio construction and management topics such as risk management, hedging, and correlation. Portfolio Management, Risk “The challenge of successfully managing an […]

Read more →

Klarman’s Margin of Safety: Ch.13 – Part 2

by
January 8, 2014

This is a continuation in our series of portfolio construction & management highlights extracted from Seth Klarman’s Margin of Safety. In Chapter 13 (Portfolio Management and Trading) – Part 2 below, Klarman shares his thoughts on the illusory nature of liquidity, and the tricky task of knowing when to sell. Liquidity, Catalyst, When To Buy, When To […]

Read more →