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Steven Peterson - Investment Theory and Risk Management, + Website - 9781118129593 - V9781118129593
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Investment Theory and Risk Management, + Website

€ 97.99
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Description for Investment Theory and Risk Management, + Website Hardcover. A unique perspective on applied investment theory and risk management from the Senior Risk Officer of a major pension fund Investment Theory and Risk Management is a practical guide to today's investment environment. Series: Wiley Finance Series. Num Pages: 442 pages, Illustrations. BIC Classification: KFFM. Category: (P) Professional & Vocational. Dimension: 160 x 235 x 37. Weight in Grams: 682.
A unique perspective on applied investment theory and risk management from the Senior Risk Officer of a major pension fund

Investment Theory and Risk Management is a practical guide to today's investment environment. The book's sophisticated quantitative methods are examined by an author who uses these methods at the Virginia Retirement System and teaches them at the Virginia Commonwealth University. In addition to showing how investment performance can be evaluated, using Jensen's Alpha, Sharpe's Ratio, and DDM, he delves into four types of optimal portfolios (one that is fully invested, one with targeted returns, another with no short sales, ... Read more

In addition, the book provides valuable insights on risk, and topics such as anomalies, factor models, and active portfolio management. Other chapters focus on private equity, structured credit, optimal rebalancing, data problems, and Monte Carlo simulation.

  • Contains investment theory and risk management spreadsheet models based on the author's own real-world experience with stock, bonds, and alternative assets
  • Offers a down-to-earth guide that can be used on a daily basis for making common financial decisions with a new level of quantitative sophistication and rigor
  • Written by the Director of Research and Senior Risk Officer for the Virginia Retirement System and an Associate Professor at Virginia Commonwealth University's School of Business

Investment Theory and Risk Management empowers both the technical and non-technical reader with the essential knowledge necessary to understand and manage risks in any corporate or economic environment.

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Product Details

Format
Hardback
Publication date
2012
Publisher
John Wiley & Sons Inc United States
Number of pages
442
Condition
New
Series
Wiley Finance Series
Number of Pages
464
Place of Publication
New York, United States
ISBN
9781118129593
SKU
V9781118129593
Shipping Time
Usually ships in 7 to 11 working days
Ref
99-50

About Steven Peterson
STEVEN PETERSON is the Director of Research and Senior Risk Officer for the Virginia Retirement System and an Associate Professor at Virginia Commonwealth University’s School of Business. He is directly responsible for the measurement, forecasting, and attribution of risk at both the program and plan levels, with risk broadly defined to include various market and nonmarket risks. Peterson has done ... Read more

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