Portfolio Analytics: An Introduction to Return and Risk Measurement: Springer Texts in Business and Economics
Autor Wolfgang Martyen Limba Engleză Paperback – 23 aug 2016
Toate formatele și edițiile | Preț | Express |
---|---|---|
Paperback (1) | 377.30 lei 6-8 săpt. | |
Springer International Publishing – 23 aug 2016 | 377.30 lei 6-8 săpt. | |
Hardback (1) | 493.29 lei 6-8 săpt. | |
Springer International Publishing – 16 oct 2015 | 493.29 lei 6-8 săpt. |
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Specificații
ISBN-13: 9783319345253
ISBN-10: 3319345257
Pagini: 204
Ilustrații: XIV, 204 p.
Dimensiuni: 155 x 235 mm
Greutate: 0.31 kg
Ediția:Softcover reprint of the original 2nd ed. 2015
Editura: Springer International Publishing
Colecția Springer
Seria Springer Texts in Business and Economics
Locul publicării:Cham, Switzerland
ISBN-10: 3319345257
Pagini: 204
Ilustrații: XIV, 204 p.
Dimensiuni: 155 x 235 mm
Greutate: 0.31 kg
Ediția:Softcover reprint of the original 2nd ed. 2015
Editura: Springer International Publishing
Colecția Springer
Seria Springer Texts in Business and Economics
Locul publicării:Cham, Switzerland
Cuprins
Introduction.- Return Analysis.- Risk Measurement.- Performance Measurement.- Investment Controlling.
Notă biografică
Dr. Wolfgang Marty is Investment Strategist at AgaNola. Between 2015 and 1998 he was working with Credit Suisse in Zurich. He joined as Head of Product Engineering and later became Head of Portfolio Analytics. From 1989 - 1998 he worked in London and Chicago. He is specialized in performance measurement, fixed income portfolio attribution and portfolio optimization. He has been committed to actively developing the fixed-income markets for many years. In particular it pursues the interests of the Swiss market participants in the European Bond Commission (EBC). Moreover, Wolfgang Marty is a member of the Executive Committee of the EBC, as well as of the Bond Index Commission of SIX Exchange.
Textul de pe ultima copertă
This textbook first introduces the reader to return measurement and then goes on to compare the time-weighted rate of return (TWR) with the money-weighted rate of return (MWR). To emphasize the importance of risk in conjunction with return, different tracking errors are analyzed and ex-post versus ex-ante risk figures are compared. The author then proceeds to modern portfolio theory (MPT) and illustrates how the constraints interfere substantially in the construction of optimized portfolios. As a conclusion, the book provides the reader with all the essential aspects of investment controlling.
Caracteristici
Explains how to analyze key variables for constructing a portfolio Provides a rich collection of examples to assist the student in following the theory Equips the reader with essential performance measurement know-how as well as advanced research topics