Managing Hedge Fund Risk and Financing – Adapting to a New Era: Wiley Finance
Autor DP Belmonten Limba Engleză Hardback – 3 oct 2011
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Specificații
ISBN-13: 9780470827260
ISBN-10: 0470827262
Pagini: 400
Dimensiuni: 161 x 229 x 26 mm
Greutate: 0.7 kg
Editura: Wiley
Seria Wiley Finance
Locul publicării:Singapore, Singapore
ISBN-10: 0470827262
Pagini: 400
Dimensiuni: 161 x 229 x 26 mm
Greutate: 0.7 kg
Editura: Wiley
Seria Wiley Finance
Locul publicării:Singapore, Singapore
Public țintă
Hedge Fund Investors, Hedge Fund Managers, Hedge Fund COO/CFO/Chief Risk Officers, Fund of Fund Managers, Pension Fund Managers, Endowment Managers, Investment Professionals, Family Office professionalsCuprins
Notă biografică
David Belmont has over 19 years of buy side and sell side risk management experience gained as a Chief Risk Officer, hedge fund risk manager, hedge fund investor, and a hedge fund lender. David is currently the Chief Risk Officer for Commonfund, a manager of US$27 billion of long term client assets across hedge funds, private equity, real estate, commodities, fixed income and equities. Previously, David was the Head of Risk Management for Temasek Holdings, the Singapore sovereign wealth fund, where in addition to risk-managing the direct investing, Private Equity, and long-only investments, David risk-managed Temasek's internal hedge fund strategies and its third party hedge fund investing. Earlier in his career, David was the risk manager for Cargill's Financial Markets Group, the precursor to the multi-strategy hedge fund, Black River Asset Management. Subsequently, David was the Director of Risk for Nexgen Capital, a closely held hedge fund active in emerging markets, credit arbitrage, volatility arbitrage, and natural catastrophe bonds.
David's sell side experience comes from his recent role as Global Head of Hedge Fund Risk Credit at UBS Investment Bank and as Head of Risk Management for UBS Prime Brokerage in the Americas.
David holds Master of Business Administration and Master of Science degrees from Yale University and is a Chartered Financial Analyst.
Descriere
? This book encapsulates the lessons learned from the recent crisis and advises hedge fund managers and CFOs how to manage the risk of their investment strategies ? It presents in detail the various methodologies for managing hedge fund market, credit and operational risks depending on the hedge fund?s investment strategy.