Publisher's Synopsis
This book demystifies the mechanics of achieving risk-balanced positions in cryptocurrency markets, through the delta-neutral approach.
Each chapter lays out the foundation of the financial markets, the delta-neutral approach, and applicable strategies in a straightforward manner, underscoring the tools and disciplines needed to manage risk and deliver consistent results.
By bridging tried-and-true risk management principles with the cutting edge of DeFi, this book offers a timely exploration of how delta-neutral participants can thrive in the crypto ecosystem. The result is a comprehensive guide to building stable, low-variance portfolios and positioning for long-term success in crypto's rapidly evolving financial landscape.