151 Trading Strategies
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Ch 2: Options Ch 3: Stocks Ch 4: ETFs Ch 5: Fixed Income Ch 6: Indexes Ch 7: Volatility Ch 8: FX Ch 9: Commodities Ch 10: Futures Ch 11: Structured Assets Ch 12: Convertibles Ch 13: Tax Arbitrage Ch 14: Miscellaneous Ch 15: Distressed Assets Ch 16: Real Estate Ch 17: Cash Ch 18: Cryptocurrencies Ch 19: Global Macro Ch 20: Infrastructure

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Strategy Catalog

2 of 173 strategies
5.10 PLUGIN

Value Factor

Strategy 5.10: Long high-spread (cheap) bonds, short low-spread (expensive)

fixed income factor
5.9 PLUGIN

Low-Risk Factor

Strategy 5.9: Long low-duration bonds, short high-duration bonds

fixed income factor
Based on "151 Trading Strategies" by Kakushadze & Serur · 173 strategies across 19 chapters