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Investment Und Risikomanagement


Investment Und Risikomanagement
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Investment Und Risikomanagement


Investment Und Risikomanagement
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Author : Peter Albrecht
language : de
Publisher: Schäffer-Poeschel
Release Date : 2016-05-20

Investment Und Risikomanagement written by Peter Albrecht and has been published by Schäffer-Poeschel this book supported file pdf, txt, epub, kindle and other format this book has been release on 2016-05-20 with Business & Economics categories.


Anhand vieler Beispiele und empirischer Fallstudien erörtern die Autoren anschaulich institutionelle und methodische Grundlagen. Ausführlich werden Investments in Aktien, Zinstitel und Derivate behandelt; Futures, Optionen und Swaps sind dabei jeweils eigene Kapitel gewidmet. Immobilieninvestments, internationale Portfolio-Diversifikation und Value-at-Risk runden die breit angelegte Einführung ab. In der 4. Auflage neu aufgenommen: Abschnitte zu weiteren Modellkonzeptionen Stylized Facts empirischer Renditezeitreihen Prospect-Theorie Theorie effizienter Märkte Portfolioheuristiken Zinsprognose Preisbildung bei Rohstofffutures Risikomanagement von Optionspositionen Rohstoffinvestments



Investment Risk Management


Investment Risk Management
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Author : Yen Yee Chong
language : en
Publisher: John Wiley & Sons
Release Date : 2004-04-02

Investment Risk Management written by Yen Yee Chong and has been published by John Wiley & Sons this book supported file pdf, txt, epub, kindle and other format this book has been release on 2004-04-02 with Business & Economics categories.


Risk has two sides: underestimating it harms the investor, while overestimating it prevents the implementation of bold business projects. This book explains, from the point of view of the practitioner, the analysis of investment risk - a proper account of adequate risk management strategies - and offers an objective and readable account of the most common investment risk management procedures. It will not be highly mathematical, although mathematical formulae and technical graphs will be used where necessary, and will not rely on excessive technical jargon. The author also covers guidelines of regulatory institutions that protect the market and the investor: Bank of International Settlements, US SEC and UK FSA.



Applied Asset And Risk Management


Applied Asset And Risk Management
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Author : Marcus Schulmerich
language : en
Publisher: Springer
Release Date : 2014-10-20

Applied Asset And Risk Management written by Marcus Schulmerich and has been published by Springer this book supported file pdf, txt, epub, kindle and other format this book has been release on 2014-10-20 with Business & Economics categories.


This book is a guide to asset and risk management from a practical point of view. It is centered around two questions triggered by the global events on the stock markets since the middle of the last decade: - Why do crashes happen when in theory they should not? - How do investors deal with such crises in terms of their risk measurement and management and as a consequence, what are the implications for the chosen investment strategies? The book presents and discusses two different approaches to finance and investing, i.e., modern portfolio theory and behavioral finance, and provides an overview of stock market anomalies and historical crashes. It is intended to serve as a comprehensive introduction to asset and risk management for bachelor’s and master’s students in this field as well as for young professionals in the asset management industry. A key part of this book is the exercises to further demonstrate the concepts presented with examples and a step-by-step business case. An Excel file with the calculations and solutions for all 17 examples as well as all business case calculations can be downloaded at extras.springer.com.



Corporate Risk Management


Corporate Risk Management
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Author : Holger Wengert
language : de
Publisher: Springer-Verlag
Release Date : 2013-10-07

Corporate Risk Management written by Holger Wengert and has been published by Springer-Verlag this book supported file pdf, txt, epub, kindle and other format this book has been release on 2013-10-07 with Business & Economics categories.


Das Buch soll Firmen und Studenten in das Risikomanagement von Unternehmen einführen und gibt einen komprimierten Einblick in das Themengebiet. Die Autoren beschäftigen sich zunächst mit den Grundlagen des Risikomanagements, u.a. werden die Bedeutung des Risikomanagements für Nachhaltigkeit und Innovationsmanagement herausgearbeitet und rechtliche Rahmenbedingungen aufgezeigt. Darüber hinaus werden organisatorische Aspekte sowie die Bedeutung von Anwendungs-Software erläutert. Anschließend wird ausführlich auf das strategische Risikomanagement eingegangen. Im dritten Teil wird der operative Risikomanagement-Prozess behandelt. In Beispielen und anschaulichen Grafiken wird das Risikomanagement greifbar gemacht. Im abschließenden Teil geben die Autoren einen Überblick über die wesentlichen Aspekte der Solvabilitätsanforderungen gemäß Basel III und Solvency II.



Scenarios For Risk Management And Global Investment Strategies


Scenarios For Risk Management And Global Investment Strategies
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Author : Rachel E. S. Ziemba
language : en
Publisher: John Wiley & Sons
Release Date : 2008-07-31

Scenarios For Risk Management And Global Investment Strategies written by Rachel E. S. Ziemba and has been published by John Wiley & Sons this book supported file pdf, txt, epub, kindle and other format this book has been release on 2008-07-31 with Business & Economics categories.


This book discusses scenarios for risk management and developing global investment strategies. What are the chances that various future events will occur over time and how should these events and probable occurrence influence investment decisions? Assessing all possible outcomes is fundamental to risk management, financial engineering and investment and hedge fund strategies. A careful consideration of future scenarios will lead to better investment decisions and avoid financial disasters. The book presents tools and case studies around the world for analyzing a wide variety of investment strategies, building scenarios to optimize returns.



Modern Investment Management


Modern Investment Management
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Author : Bob Litterman
language : en
Publisher: John Wiley & Sons
Release Date : 2004-11-19

Modern Investment Management written by Bob Litterman and has been published by John Wiley & Sons this book supported file pdf, txt, epub, kindle and other format this book has been release on 2004-11-19 with Business & Economics categories.


Dieser Band füllt eine echte Marktlücke. "Goldman Sach's Modern Investment" gibt eine Einführung in moderne Investment Management Verfahren, wie sie von Goldman Sachs Asset Management verwendet werden, um erstklassige Investitionsrenditen zu erzielen. Erläutert werden u.a. die moderne Portfoliotheorie (Portfoliodiversifikation zur Risikostreuung), Capital Asset Pricing (Verfahren zur Ermittlung des Risiko-Rendite-Austauschverhältnisses von Finanzanlagen, bei dem der unterschiedliche Risikogehalt von Finanztiteln berücksichtigt wird) sowie eine Reihe aktueller Themen wie z.B. strategische Portfoliostrukturierung, Risikobudgetierung und aktives Portfolio Management. Hier erhalten Sie die Mittel an die Hand, um die Goldman Sachs Asset Management Methode für sich selbst umzusetzen. Das von Fischer Black und Bob Litterman gemeinsam entwickelte Black-Litterman Asset Allocation Model gehört zu den angesehensten und meist verwendeten Modellen zur Portfoliostrukturierung. Litterman und seine Asset Management Group sind oft die treibende Kraft, wenn es um Portfoliostrukturierung und Investmententscheidungen der 100 international größten Pensionsfonds geht.



The Risk Wise Investor


The Risk Wise Investor
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Author : Michael T. Carpenter
language : en
Publisher: John Wiley & Sons
Release Date : 2009-08-13

The Risk Wise Investor written by Michael T. Carpenter and has been published by John Wiley & Sons this book supported file pdf, txt, epub, kindle and other format this book has been release on 2009-08-13 with Business & Economics categories.


User-friendly risk management tools, tips, and techniques for a less certain world Though a very high level of investor uncertainty, anxiety, and concern about risk now exists, the vast majority of investors do not genuinely understand investment risk-let alone how to effectively manage it. The Risk-Wise Investor offers a totally new, user-friendly, non-technical way to help you better understand and manage uncertainty and risk. This practical guide will help investors avoid many common pitfalls and make well informed, knowledge-based decisions when facing uncertainty and risk. It also shows how to implement a personalized, systematic risk management planning process that will allow you to manage the risks you face more effectively and improve the likelihood of achieving specific investment goals. Though traditional investment advice is based on taking the long view and diversifying portfolios, the information here shows how to incorporate additional risk management considerations into your plans. The Risk-Wise Investor also provides innovative insights that will help investors and their advisors better understand how to: Gain a practical, user-friendly, knowledge based understanding of risk and risk management Better understand and manage financial uncertainty and rapid change Release life-risk management skills in the world of investments Become less anxious, more knowledgeable, realistic, and potentially more successful investors Learn a new "empowering" definition of risk to more effectively address risk and uncertainty Help reduce the likelihood and potential impact of negative surprises



Blackrock S Guide To Fixed Income Risk Management


Blackrock S Guide To Fixed Income Risk Management
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Author : BlackRock, Inc.
language : en
Publisher: John Wiley & Sons
Release Date : 2023-10-25

Blackrock S Guide To Fixed Income Risk Management written by BlackRock, Inc. and has been published by John Wiley & Sons this book supported file pdf, txt, epub, kindle and other format this book has been release on 2023-10-25 with Business & Economics categories.


An irreplaceable roadmap to modern risk management from renowned experts on the subject Edited by a co-founder and the former Chief Risk Officer of BlackRock—the world’s largest asset manager—BlackRock’s Guide to Fixed-Income Risk Management delivers an insightful blueprint to the implementation of a comprehensive investment risk management framework for buy-side firms. Leveraging the unprecedented academic and professional experience of current and former senior leaders in BlackRock’s risk and portfolio management functions, as well as trading, financial modeling, and analytics experts, the book serves a practitioner’s guide to investment risk management, leveraging BlackRock’s risk management framework. The included chapters combine to provide chief investment officers, risk managers, portfolio managers, researchers, and compliance professionals an approach to investment risk management well-suited for today's and tomorrow's markets. The book also presents: Critical elements that underpin a strong risk management program and culture Fixed income risk management concepts and theories that can be applied to other asset classes Lessons learned from financial crises and the COVID-19 Pandemic Ideal for undergraduate students and students and scholars of business, finance, and risk management, BlackRock’s Guide to Fixed-Income Risk Management is a one-of-a-kind combination of modern theory with proven, practical risk management strategies.



Mastering Illiquidity


Mastering Illiquidity
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Author : Thomas Meyer
language : en
Publisher: John Wiley & Sons
Release Date : 2013-06-10

Mastering Illiquidity written by Thomas Meyer and has been published by John Wiley & Sons this book supported file pdf, txt, epub, kindle and other format this book has been release on 2013-06-10 with Business & Economics categories.


Arms investors with powerful new tools for measuring and managing the risks associated with the various illiquid asset classes With risk-free interest rates and risk premiums at record lows, many investors are turning to illiquid assets, such as real estate, private equity, infrastructure and timber, in search of superior returns and greater portfolio diversity. But as many analysts, investors and wealth managers are discovering, such investments bring with them a unique set of risks that cannot be measured by standard asset allocation models. Written by a dream team of globally renowned experts in the field, this book provides a clear, accessible overview of illiquid fund investments, focusing on what the main risks of these asset classes are and how to measure those risks in today's regulatory environment. Provides solutions for institutional investors in need of guidance in today's regulatory environment Offers detailed descriptions of risk measurement in illiquid asset classes, illustrated with real life case studies Helps you to develop reliable risk management tools while complying with the regulations designed to contain the individual and systemic risks arising from illiquid investments Features real-life case studies that capture an array of risk management scenarios you are likely to encounter



The Endowment Model Of Investing


The Endowment Model Of Investing
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Author : Martin L. Leibowitz
language : en
Publisher: John Wiley & Sons
Release Date : 2010-03-02

The Endowment Model Of Investing written by Martin L. Leibowitz and has been published by John Wiley & Sons this book supported file pdf, txt, epub, kindle and other format this book has been release on 2010-03-02 with Business & Economics categories.


A cutting-edge look at the endowment model of investing Many larger endowments and foundations have adopted a broadly diversified asset allocation strategy with only a small amount of traditional U.S. equities and bonds. This technique, known as the "endowment model of investing," has demonstrated consistent long-term performance and attracted the attention of numerous institutional and individual investors. With The Endowment Model of Investing Leibowitz, Bova, and Hammond take a closer look at the endowment model with customary research sophistication and attention to detail. Throughout the book, they examine how the model provides truly outstanding real returns, while keeping a close eye on the risks associated with this method of investing. Along the way, the authors offer practical advice on incorporating the endowment model into your own investment endeavors and reveal what it takes to make this method work in the real world. Details the growing debate about the endowment model of investing and discusses how to use it successfully Written by an authority on endowment investing and non-traditional asset allocation strategies Offers expert insights on understanding risk and return in non traditional asset allocation If you want to gain a better grasp of one of the most successful forms of investing, then The Endowment Model of Investing is a book you need to read.