Investment Risk Management
H Kent Baker editor Greg Filbeck editor
Format:Hardback
Publisher:Oxford University Press Inc
Published:29th Jan '15
Currently unavailable, and unfortunately no date known when it will be back
All investments carry with them some degree of risk. In the financial world, individuals, professional money managers, financial institutions, and many others encounter and must deal with risk. Risk management is a process of determining what risks exist in an investment and then handling those risks in the best-suited way. This is important because it can reduce or augment risk depending on the goals of investors and portfolio managers. The main purpose of Investment Risk Management is to provide an overview of developments in risk management and a synthesis of research involving these developments. The book examines ways to alter exposures through measuring and managing those exposures and provides an understanding of the latest strategies and trends within risk management. The scope of the coverage is broad and encompasses the most important aspects of investment risk management. Its 30 chapters are organized into six sections: (1) foundations of risk management, (2) types of risk, (3) quantitative assessment of risk, (4) risk and risk classes, (5) hedging risk and (6) going forward. The book should be of particular interest to sophisticated practitioners, investors, academics, and graduate finance students. Investment Risk Management provides a fresh look at this intriguing but complex subject.
"I found the Investment Risk Management book excellent on many fronts. It provides a timely and important review of risk management after the great crisis and an examination of important advances and challenges in managing investment risk at firms and for investors." -- Russell Walker, Ph.D. is Clinical Associate Professor at the Kellogg School of Management, Northwestern University and author of From Big Data to Big Profits: Success with Data and Analytics (OUP 2015). "Investment Management Risk is an excellent survey. Those practicing, studying, or simply interested in risk management will find it a first-rate reference and perhaps a reminder of how much the field has evolved since the board games of their youth." -- Financial Analysts Journal
ISBN: 9780199331963
Dimensions: 163mm x 239mm x 43mm
Weight: 1139g
710 pages