| Extent: | 1 Online-Ressource (314 page) |
|---|---|
| Series: | |
| Type of publication: | Book / Working Paper |
| Type of publication (narrower categories): | Aufsatzsammlung |
| Language: | English |
| Notes: | Contents: Part I: Foundations of risk and return -- 1. Understanding risk and return: An overview / Greg Filbeck and Hunter Holzhauer -- 2. Measuring and managing risk / Xudong Fu -- 3. Measuring and managing returns / Timothy A. Krause, Eric J. Robbins and Santina A. Haddad -- Part II: Risk-return management and analysis -- 4. Risk and return across inflationary regimes / Jarah D. Macfarlane -- 5. Risk-adjusted performance measurement / Pilar Grau-Carles -- 6. Prioritizing risks / Auke Plantinga -- 7. Understanding, applying, and critiquing different factor models / Rustin T. Yerkes -- Part III: Risk and asset classes -- 8. Digital assets (cryptocurrencies): Part of a multi-asset portfolio / Pankaj Agrrawal and Doug Waggle -- 9. Speculating return and hedging risk with derivatives / Tian (Lori) Tang -- 10. Irrational investors / Xing Lu -- Part IV: Going forward -- 11. Bulls, bears, bubbles, and bankruptcy: What have we learned? / Melissa Woodley -- 12. Future trends and models for managing risk and return / M. Tony Via. |
| ISBN: | 978-1-0353-3972-3 ; 9781035338777 ; 978-1-0353-3971-6 |
| Other identifiers: | 10.4337/9781035339723 [DOI] |
| Source: | ECONIS - Online Catalogue of the ZBW |
Persistent link: https://www.econbiz.de/10015560741