Like the work which Carlisle and her firm are doing to mitigate risk. However I am curious on how she was going about quantifying those risk or is she using these criteria ask a general indicator of whether to buy, hold or sell a position?
Like the work which Carlisle and her firm are doing to mitigate risk. However I am curious on how she was going about quantifying those risk or is she using these criteria ask a general indicator of whether to buy, hold or sell a position?