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Investing in Microfinance: Integrating New Asset Classes into an Asset Allocation Framework Applying Scenario Methodology

Autor Philipp Becker
en Limba Engleză Paperback – 28 sep 2010

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Specificații

ISBN-13: 9783834925671
ISBN-10: 3834925675
Pagini: 188
Ilustrații: XX, 166 p. 65 illus.
Dimensiuni: 148 x 210 x 20 mm
Greutate: 0.23 kg
Ediția:2010
Editura: Gabler Verlag
Colecția Gabler Verlag
Locul publicării:Wiesbaden, Germany

Public țintă

Research

Cuprins

Asset Allocation Framework.- Scenario Approach in Asset Allocation.- Microfinance.- Scenario Process Microfinance.- Asset Allocation Model.- Conclusion.

Notă biografică

Dr. Philipp M. Becker obtained his doctorate under the supervision of Prof. Dr. Pascal Gantenbein at the Swiss Institute of Banking and Finance, University of St. Gallen (Switzerland). He works in the asset management industry, focusing mainly on asset allocation and research.

Textul de pe ultima copertă

Strategic asset allocation purposes and particularly the evaluation of new asset classes require a forward-looking approach. Philipp M. Becker investigates the attractiveness of microfinance investments for different investor categories. To integrate microfinance into an asset allocation framework he applies an innovative scenario approach. He discovers that microfinance investments are efficient especially for risk-averse investor categories.