Публикация: Practical Risk-Adjusted Performance Measurement
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WILEY
John Wiley & Sons Ltd.
John Wiley & Sons Ltd.
Абстракт
Risk within asset management firms has an undeserved reputation for being an overly complex, mathematical subject. This book simplifies the subject and demonstrates with practical examples that risk is perfectly straightforward and not as complicated as it might seem. Unlike most books written on portfolio risk, which generally focus on ex-ante risk from an academic perspective using complicated language and no worked examples, this book focuses on ex-post risk from a buy side, asset management, risk practitioners perspective, including a number of practical worked examples for risk measures and their interpretation.
Описание
Chichester
Ключови думи
658.15 Финансово ръководство на предприятията. Управление на частните финанси, 005.52:005.334 Анализ на риска. Управление на риска
