£75.00

Risk Books Intelligent Hedge Fund Investing: Successfully Avoiding Pitfalls Through Better Risk Evaluation

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Description

Focusing on the wide range of hedge fund strategy choices and their associated challenges and risks, this title presents a wealth of new research to guide you past the potential pitfalls and develop your risk assessment skills. Presents cutting-edge research on hedge funds with broad coverage of investing, risk management and portfolio allocation and in-depth analysis on a variety of topics including VaR estimation, illiquidity and dynamic investment strategies. Explores important differences between approaches to hedge funds and standard investment choices. Gain a practical insight into the proper analytical tools for evaluating hedge fund investments in order to reach better decisions both in managing the risk of these investments and in allocating the risk among alternatives. Accurately compare and measure the pros and cons of various risk management strategies so that you can assess whether or not to follow a particular strategy. Enables hedge fund investors to adequately measure and weigh risk against benefits in order to optimise their asset allocations to hedge funds. Technical material is presented in appendices and explained in detail in the text, making the title ideal for readers with only moderate technical knowledge.

Product Specifications

Format
hardcover
Domain
Amazon UK
Release Date
01 April 2004
Listed Since
22 December 2006

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No barcode data available

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