Specifying and Managing Tail Risk in Portfolios - A Practical Approach
Year of publication: |
2015
|
---|---|
Authors: | Gupta, Pranay |
Other Persons: | Skallsjö, Sven R. (contributor) |
Publisher: |
[2015]: [S.l.] : SSRN |
Subject: | Portfolio-Management | Portfolio selection | Risikomanagement | Risk management |
Description of contents: | Abstract [papers.ssrn.com] ; Abstract [doi.org] |
Extent: | 1 Online-Ressource |
---|---|
Type of publication: | Book / Working Paper |
Language: | English |
Notes: | Nach Informationen von SSRN wurde die ursprüngliche Fassung des Dokuments May 28, 2013 erstellt Volltext nicht verfügbar |
Other identifiers: | 10.2139/ssrn.2270914 [DOI] |
Classification: | G1 - General Financial Markets ; G3 - Corporate Finance and Governance |
Source: | ECONIS - Online Catalogue of the ZBW |
-
Systemic Risk and Heavy Tails : The Case of Banks’ Loan Portfolio
Agarwal, Sumit, (2011)
-
The importance of climate risks for institutional investors
Krüger, Philipp, (2018)
-
Diversifying Risks in Bond Portfolios : A Cross-Border Approach
Sun, David S., (2017)
- More ...
-
Rethinking the Asset Allocation Approach for Plan Sponsors
Gupta, Pranay, (2015)
-
Multi-asset investing : a practitioner's framework
Gupta, Pranay, (2016)
-
Multi-asset investing : a practitioner's framework
Gupta, Pranay, (2016)
- More ...