Risk Parity Fundamentals - Qian, Edward E. (PanAgora Asset Management, Boston, Massachusetts, USA) - Bøger - Taylor & Francis Inc - 9781498738798 - 23. februar 2016
Ved uoverensstemmelse mellem cover og titel gælder titel

Risk Parity Fundamentals 1. udgave

Qian, Edward E. (PanAgora Asset Management, Boston, Massachusetts, USA)

Pris
DKK 836

Bestilles fra fjernlager

Forventes klar til forsendelse 5. - 15. jul.
Tilføj til din iMusic ønskeseddel
Eller

Risk Parity Fundamentals 1. udgave

Discover the Benefits of Risk Parity Investing

Despite recent progress in the theoretical analysis and practical applications of risk parity, many important fundamental questions still need to be answered. Risk Parity Fundamentals uses fundamental, quantitative, and historical analysis to address these issues, such as:

  • What are the macroeconomic dimensions of risk in risk parity portfolios?
  • What are the appropriate risk premiums in a risk parity portfolio?
  • What are market environments in which risk parity might thrive or struggle?
  • What is the role of leverage in a risk parity portfolio?

An experienced researcher and portfolio manager who coined the term "risk parity," the author provides investors with a practical understanding of the risk parity investment approach. Investors will gain insight into the merit of risk parity as well as the practical and underlying aspects of risk parity investing.


246 pages, 91 black & white illustrations, 102 black & white tables

Medie Bøger     Hardcover bog   (Bog med hård ryg og stift omslag)
Udgivet 23. februar 2016
ISBN13 9781498738798
Forlag Taylor & Francis Inc
Antal sider 246
Mål 262 × 185 × 18 mm   ·   628 g
Sprog Engelsk  

Vis alle

Mere med Qian, Edward E. (PanAgora Asset Management, Boston, Massachusetts, USA)