
Price: $19.99
(as of Jan 03, 2026 00:31:25 UTC – Details)
Protect Your Wealth. Invest Smarter. Manage Risk Like a Pro.
Most investors know the stock market can build wealth — but few truly understand how to protect it. The reality is simple: without a clear risk management strategy, even decades of gains can disappear in a single market downturn.
In Risk Management in Stock Market Investing, veteran financial planner and options strategist Timothy L. Smith, CFP® draws on more than 40 years of experience to explain how investors can safeguard their portfolios while still pursuing growth.
Tim began his career trading options in the 1980s. In 2020, he began working with structured notes — and by dissecting the strategies inside them, he discovered he could deliver the same protections without relying on costly bank products. By 2025, he launched Structured Positions, offering clients a more flexible, transparent way to manage market risk. This book introduces his breakthrough approach.
Inside, you’ll discover:
Part One: Understanding Stock Market Risk
The real goal of stock investing (it’s not what most people think)
Principal risk, drawdowns, and the dangers every investor faces
Diversifiable vs. non-diversifiable risks
Key strategies for managing investment risk
Part Two: Structured Positions — A Better Way to Manage Risk
What structured positions are and why they outperform structured notes
The components of a structured position and how they work
Examples that show their practical use in real portfolios
The advantages structured positions have over traditional market investing
Why these strategies aren’t widely used (yet)
Whether you’re a seasoned investor, a financial professional, or simply someone who wants to understand how to protect your wealth in volatile markets, this book will give you a practical, proven framework for navigating risk.
Don’t gamble with your financial future. Learn how to manage risk — and invest with confidence.
ASIN : B0FYRRJDGZ
Publisher : TLS Ventures LLC
Publication date : October 29, 2025
Language : English
Print length : 112 pages
ISBN-13 : 979-8993277400
Item Weight : 7.8 ounces
Dimensions : 6 x 0.26 x 9 inches
Best Sellers Rank: #445,057 in Books (See Top 100 in Books) #65 in Derivatives Investments #178 in Financial Risk Management (Books) #242 in Investment Portfolio Management
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