How To Master Risk and Reward

Published on: April 21st, 2022

Saagar Gupta’s investment firm SG3 Capital has enjoyed enormous success of late. But, like so many others in this series, Saagar has traveled a long journey to this point. In the early days of his career as a quantitative trader, Saagar watched how clients traded and noted their mistakes. From there, he spent years developing his own strategy. Key to Saagar’s portfolio management is the effective use of stop-losses and other risk-management tools. To get a complete picture of Saagar’s process, please watch the full interview:


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