£76.00

Wiley Asymmetric Dependence in Finance: Diversification, Correlation and Portfolio Management in Market Downturns (Wiley Finance)

Price data last checked 39 day(s) ago - refreshing...

View at Amazon

We'll watch every seller, every day. One email when your price arrives.

This is the most expensive it has ever been. Walk away.

£76 today · previous high £76 · all-time low £69

NEW HERE?

Amazon shows you one price. We show you all of them.

Tosheroon watches Amazon prices so you don't have to. Every product on Amazon has a price history — we make it visible. Set the price you'd actually pay, and we'll email you the second it gets there. No app, no account, one email.

WHAT'S ON THIS PAGE

↓ Price chart
when this has been cheap or pricey
↓ Forecast
where the price is heading next
↓ Statistics
all-time high & low, recent range
↑ Price alert
name your number, we'll email you

Price History & Forecast

Grey patches = out of stock. Cheaper = lower on the chart. Hover for exact prices.

Last 52 days • 52 data points (No recent data available)

Historical
Generating forecast...
£76.00 £67.96 £69.71 £71.47 £73.22 £74.98 £76.73 05 April 2026 17 April 2026 30 April 2026 13 May 2026 26 May 2026

Price Distribution

Price distribution over 52 days • 3 price levels

Days at Price
Current Price
34 days 7 days 11 days · current 0 9 17 26 34 £69 £72 £76 Days at Price

Price Analysis

Most common price: £69 (34 days, 65.4%)

Price range: £69 - £76

Price levels: 3 different prices over 52 days

Description

Avoid downturn vulnerability by managing correlation dependency Asymmetric Dependence in Finance examines the risks and benefits of asset correlation, and provides effective strategies for more profitable portfolio management. Beginning with a thorough explanation of the extent and nature of asymmetric dependence in the financial markets, this book delves into the practical measures fund managers and investors can implement to boost fund performance. From managing asymmetric dependence using Copulas, to mitigating asymmetric dependence risk in real estate, credit and CTA markets, the discussion presents a coherent survey of the state-of-the-art tools available for measuring and managing this difficult but critical issue. Many funds suffered significant losses during recent downturns, despite having a seemingly well-diversified portfolio. Empirical evidence shows that the relation between assets is much richer than previously thought, and correlation between returns is dependent on the state of the market; this book explains this asymmetric dependence and provides authoritative guidance on mitigating the risks. Examine an options-based approach to limiting your portfolio's downside risk Manage asymmetric dependence in larger portfolios and alternate asset classes Get up to speed on alternative portfolio performance management methods Improve fund performance by applying appropriate models and quantitative techniques Correlations between assets increase markedly during market downturns, leading to diversification failure at the very moment it is needed most. The 2008 Global Financial Crisis and the 2006 hedge-fund crisis provide vivid examples, and many investors still bear the scars of heavy losses from their well-managed, well-diversified portfolios. Asymmetric Dependence in Finance shows you what went wrong, and how it can be corrected and managed before the next big threat using the latest methods and models from leading research in quantitative finance.

Product Specifications

Brand
Wiley
Format
hardcover
Domain
Amazon UK
Release Date
27 April 2018
Listed Since
02 April 2016

Barcode

No barcode data available

Similar Products You Might Like

Heavy Tails And Copulas: Topics In Dependence Modelling In Economics And Finance
81% match

Heavy Tails And Copulas: Topics In Dependence Modelling In Economics And Finance

World Scientific Publishing Company

£77.70 01 Jun 2026
Financial Risk Management: Applications in Market, Credit, Asset and Liability Management and Firmwide Risk (Wiley Finance)
80% match

Financial Risk Management: Applications in Market, Credit, Asset and Liability Management and Firmwide Risk (Wiley Finance)

Wiley

£72.49 27 May 2026
Portfolio Management: Theory, Behavioral Aspects & Applications
80% match

Portfolio Management: Theory, Behavioral Aspects & Applications

Independently Published

£81.07 01 Jun 2026
Forecasting in Financial and Sports Gambling Markets: Adaptive Drift Modeling
79% match

Forecasting in Financial and Sports Gambling Markets: Adaptive Drift Modeling

Wiley

£83.39 26 May 2026
Credit Risk Measurement: New Approaches to Value at Risk and Other Paradigms (Wiley Finance)
79% match

Credit Risk Measurement: New Approaches to Value at Risk and Other Paradigms (Wiley Finance)

Wiley

£65.00 31 May 2026
Sustainable Asset Accumulation and Dynamic Portfolio Decisions: 18 (Dynamic Modeling and Econometrics in Economics and Finance, 18)
79% match

Sustainable Asset Accumulation and Dynamic Portfolio Decisions: 18 (Dynamic Modeling and Econometrics in Economics and Finance, 18)

Springer

£74.27 25 May 2026
Global Financial Management
79% match

Global Financial Management

Wiley

£52.32 15 Jun 2026
Fundamentals Of Institutional Asset Management: 0 (World Scientific Finance)
79% match

Fundamentals Of Institutional Asset Management: 0 (World Scientific Finance)

World Scientific Publishing Company

£64.58 03 Jun 2026
Advances in Risk Management (Finance and Capital Markets Series)
78% match

Advances in Risk Management (Finance and Capital Markets Series)

MACMILLAN

£106.98 26 May 2026
Mathematical Risk Analysis: Dependence, Risk Bounds, Optimal Allocations and Portfolios (Springer Series in Operations Research and Financial Engineering)
78% match

Mathematical Risk Analysis: Dependence, Risk Bounds, Optimal Allocations and Portfolios (Springer Series in Operations Research and Financial Engineering)

Springer

£61.79 05 Jun 2026
Managing Illiquid Assets: Perspectives and Challenges
78% match

Managing Illiquid Assets: Perspectives and Challenges

Risk Books

£102.79 14 Jun 2026
Investment Management: Meeting the Noble Challenges of Funding Pensions, Deficits, and Growth: 518 (Wiley Finance)
78% match

Investment Management: Meeting the Noble Challenges of Funding Pensions, Deficits, and Growth: 518 (Wiley Finance)

Wiley

£80.49 25 May 2026
Equity Derivatives: Applications in Risk Management and Investment
78% match

Equity Derivatives: Applications in Risk Management and Investment

Risk Books

£129.00 01 Jul 2026
Essential Mathematics for Market Risk Management (The Wiley Finance Series)
78% match

Essential Mathematics for Market Risk Management (The Wiley Finance Series)

Wiley

£41.99 14 Jun 2026
Portfolio Analysis: Advanced Topics in Performance Measurement, Risk and Attribution
78% match

Portfolio Analysis: Advanced Topics in Performance Measurement, Risk and Attribution

Risk Books

£99.00 01 Jun 2026
High-Dimensional Covariance Estimation: With High-Dimensional Data (Wiley Series in Probability and Statistics)
77% match

High-Dimensional Covariance Estimation: With High-Dimensional Data (Wiley Series in Probability and Statistics)

Wiley

£66.90 20 May 2026
Risk Management in Banking (Wiley Finance)
77% match

Risk Management in Banking (Wiley Finance)

Wiley

£37.79 18 May 2026
Fixed Income Analytics: State-of-the-art Debt Analysis and Valuation Modelling
77% match

Fixed Income Analytics: State-of-the-art Debt Analysis and Valuation Modelling

£55.99 09 Jun 2026
Dynamic Portfolio Strategies: quantitative methods and empirical rules for incomplete information: Quantitative Methods and Empirical Rules for ... Operations Research & Management Science, 47)
77% match

Dynamic Portfolio Strategies: quantitative methods and empirical rules for incomplete information: Quantitative Methods and Empirical Rules for ... Operations Research & Management Science, 47)

Springer

£75.58 26 May 2026
Advances in Financial Risk Management: Corporates, Intermediaries and Portfolios
77% match

Advances in Financial Risk Management: Corporates, Intermediaries and Portfolios

MACMILLAN

£76.38 31 May 2026
Balanced Asset Allocation: How to Profit in Any Economic Climate (Wiley Finance)
77% match

Balanced Asset Allocation: How to Profit in Any Economic Climate (Wiley Finance)

Wiley

£35.08 09 Jun 2026
Wavelet Neural Networks: With Applications in Financial Engineering, Chaos, and Classification
77% match

Wavelet Neural Networks: With Applications in Financial Engineering, Chaos, and Classification

Wiley

£76.70 11 Jun 2026
Financial Economics and Econometrics (Routledge Advanced Texts in Economics and Finance)
77% match

Financial Economics and Econometrics (Routledge Advanced Texts in Economics and Finance)

Routledge

£75.14 05 Jun 2026
Risk Management and Simulation
77% match

Risk Management and Simulation

CRC Press

£51.59 04 Jun 2026