Investing In The Modern Age
★★★★★
★★★★★
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€74.99
Regular price
€75.99
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A01=Rachel E S Ziemba
A01=William T Ziemba
Age Group_Uncategorized
Age Group_Uncategorized
Author_Rachel E S Ziemba
Author_William T Ziemba
automatic-update
Calendar Anomalies
Category1=Non-Fiction
Category=KFFM
COP=Singapore
Delivery_Delivery within 10-20 working days
Endowment Investing
eq_business-finance-law
eq_isMigrated=2
eq_non-fiction
Global Economic Situation
Global Investment Strategies
Hedge Funds
Investment Agglomerations
Kelly and Fractional Kelly Wagering Strategies
Language_English
NWS=6
PA=Available
Political Party
Price_€50 to €100
PS=Active
SN=World Scientific Series in Finance
softlaunch
Sovereign Wealth Funds
Stock Market Crashes and Their Prediction
Time of Year Effects
Product details
- ISBN 9789814518833
- Publication Date: 10 Jun 2013
- Publisher: World Scientific Publishing Co Pte Ltd
- Publication City/Country: SG
- Product Form: Hardback
- Language: English
Delivery/Collection within 10-20 working days
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2-4 Working Days: Available in-stock
10-20 Working Days: On Backorder
Will Deliver When Available: On Pre-Order or Reprinting
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This book discusses many key topics in investment and risk management, the global economic situation and the shift in global investment strategies. It was largely written during the period of 2007-12, one of the most tumultuous times in global financial markets which called into question not only tenets of economic forecasting and also asset allocation and return strategies. It contains studies of how investors lose money in derivative markets, examples of those who did not and how these disasters could have been prevented. The authors draw some conclusions on the impact of the structural shifts currently underway in the global economy as well as how cyclical trends will affect these industries, the globe and key sectors. The authors zoom in on key growth areas, including emerging markets, their interlinkages and financial trends.The book also covers risk arbitrage and mean reversion strategies in financial and sports betting markets, plus incentives, volatility aspects, risk taking and investments strategies used by hedge funds and university endowments. Topics such as stock market crash predictions, asset liability planning models, various players in financial markets and the evaluation of the greatest investors are also discussed.The book presents tools and case studies of real applications for analyzing a wide variety of investment returns and better assessing the risks which many investors have preferred to ignore in the search of returns. Many security market regularities or anomalies are discussed including political party and January effects as is the process of building scenarios and using Kelly and fractional Kelly strategies to optimize returns.
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