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Portfolio Management under Stress

Jezik EngleskiEngleski
Knjiga Tvrdi uvez
Knjiga Portfolio Management under Stress Riccardo Rebonato
Libristo kod: 02051141
Nakladnici Cambridge University Press, siječanj 2014
Portfolio Management Under Stress offers a novel way to apply the well-established Bayesian-net meth... Cijeli opis
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Portfolio Management Under Stress offers a novel way to apply the well-established Bayesian-net methodology to the important problem of asset allocation under conditions of market distress or, more generally, when an investor believes that a particular scenario (such as the break-up of the Euro) may occur. Employing a coherent and thorough approach, it provides practical guidance on how best to choose an optimal and stable asset allocation in the presence of user specified scenarios or 'stress conditions'. The authors place causal explanations, rather than association-based measures such as correlations, at the core of their argument, and insights from the theory of choice under ambiguity aversion are invoked to obtain stable allocations results. Step-by-step design guidelines are included to allow readers to grasp the full implementation of the approach, and case studies provide clarification. This insightful book is a key resource for practitioners and research academics in the post-financial crisis world.

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Informacije o knjizi

Puni naziv Portfolio Management under Stress
Jezik Engleski
Uvez Knjiga - Tvrdi uvez
Datum izdanja 2014
Broj stranica 518
EAN 9781107048119
ISBN 1107048117
Libristo kod 02051141
Težina 1070
Dimenzije 182 x 252 x 33
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