Investment Risk Management

Investment Risk Management
Title Investment Risk Management PDF eBook
Author Harold Kent Baker
Publisher Oxford University Press, USA
Pages 709
Release 2015
Genre Business & Economics
ISBN 0199331960

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Investment Risk Management provides an overview of developments in risk management and a synthesis of research on the subject. The chapters examine ways to alter exposures through measuring and managing risk exposures and provide an understanding of the latest strategies and trends within risk management.

Essential Guide To Safe Investing

Essential Guide To Safe Investing
Title Essential Guide To Safe Investing PDF eBook
Author Kenneth M. Morris
Publisher Lightbulb Press, Inc.
Pages 19
Release 2014-03
Genre Business & Economics
ISBN 1933569093

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A comprehensive, 138 page guide on all aspects of personal finance, including financial planning, taxes, credit, insurance, and home finance.

Risk-Based and Factor Investing

Risk-Based and Factor Investing
Title Risk-Based and Factor Investing PDF eBook
Author Emmanuel Jurczenko
Publisher Elsevier
Pages 488
Release 2015-11-24
Genre Business & Economics
ISBN 0081008112

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This book is a compilation of recent articles written by leading academics and practitioners in the area of risk-based and factor investing (RBFI). The articles are intended to introduce readers to some of the latest, cutting edge research encountered by academics and professionals dealing with RBFI solutions. Together the authors detail both alternative non-return based portfolio construction techniques and investing style risk premia strategies. Each chapter deals with new methods of building strategic and tactical risk-based portfolios, constructing and combining systematic factor strategies and assessing the related rules-based investment performances. This book can assist portfolio managers, asset owners, consultants, academics and students who wish to further their understanding of the science and art of risk-based and factor investing. - Contains up-to-date research from the areas of RBFI - Features contributions from leading academics and practitioners in this field - Features discussions of new methods of building strategic and tactical risk-based portfolios for practitioners, academics and students

Investment Guarantees

Investment Guarantees
Title Investment Guarantees PDF eBook
Author Mary Hardy
Publisher John Wiley & Sons
Pages 309
Release 2003-03-06
Genre Business & Economics
ISBN 0471392901

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A comprehensive guide to investment guarantees in equity-linked life insurance Due to the convergence of financial and insurance markets, new forms of investment guarantees are emerging which require financial service professionals to become savvier in modeling and risk management. With chapters that discuss stock return models, dynamic hedging, risk measures, Markov Chain Monte Carlo estimation, and much more, this one-stop reference contains the valuable insights and proven techniques that will allow readers to better understand the theory and practice of investment guarantees and equity-linked insurance policies. Mary Hardy, PhD (Waterloo, Ontario, Canada), is an Associate Professor and Associate Chair of Actuarial Science at the University of Waterloo and is a Fellow of the Institute of Actuaries and an Associate of the Society of Actuaries, where she is a frequent speaker. Her research covers topics in life insurance solvency and risk management, with particular emphasis on equity-linked insurance. Hardy is an Associate Editor of the North American Actuarial Journal and the ASTIN Bulletin and is a Deputy Editor of the British Actuarial Journal.

Risk-Based Capital

Risk-Based Capital
Title Risk-Based Capital PDF eBook
Author Lawrence D. Cluff
Publisher DIANE Publishing
Pages 187
Release 2000
Genre
ISBN 0788186701

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The Risk of Investment Products

The Risk of Investment Products
Title The Risk of Investment Products PDF eBook
Author Michael Chak Sham Wong
Publisher World Scientific
Pages 267
Release 2011
Genre Business & Economics
ISBN 9814354996

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1. Bank risk management in emerging markets after the enhanced Basel rules -- 2. Product VaR modeling -- 3. Is it all about disclosure? Regulating structured financial products after the Lehman Brothers minibonds saga -- 4. Regulation of over-the-counter derivatives in Australia -- 5. Credit derivatives : understanding their characteristics and risk potential -- 6. A new framework for asset-backed securities (ABSs) -- 7. Risk management of collateralized debt obligations -- 8. Financial leverage risk : new definition and empirical illustration -- 9. Enabling technology for more pervasive and responsive market risk management systems -- 10. A new method of stress testing investment products

International Convergence of Capital Measurement and Capital Standards

International Convergence of Capital Measurement and Capital Standards
Title International Convergence of Capital Measurement and Capital Standards PDF eBook
Author
Publisher Lulu.com
Pages 294
Release 2004
Genre Bank capital
ISBN 9291316695

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