Asset Management: Tools And Issues

Asset Management: Tools And Issues

AngličtinaPevná vazba
Fabozzi, Frank J (Johns Hopkins Carey Business School, Usa)
World Scientific Publishing Co Pte Ltd
EAN: 9789811222931
Na objednávku
Předpokládané dodání v pondělí, 3. srpna 2026
3 645 Kč
Běžná cena: 4 050 Kč
Sleva 10 %
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Podrobné informace

Long gone are the times when investors could make decisions based on intuition. Modern asset management draws on a wide-range of fields beyond financial theory: economics, financial accounting, econometrics/statistics, management science, operations research (optimization and Monte Carlo simulation), and more recently, data science (Big Data, machine learning, and artificial intelligence). The challenge in writing an institutional asset management book is that when tools from these different fields are applied in an investment strategy or an analytical framework for valuing securities, it is assumed that the reader is familiar with the fundamentals of these fields. Attempting to explain strategies and analytical concepts while also providing a primer on the tools from other fields is not the most effective way of describing the asset management process. Moreover, while an increasing number of investment models have been proposed in the asset management literature, there are challenges and issues in implementing these models. This book provides a description of the tools used in asset management as well as a more in-depth explanation of specialized topics and issues covered in the companion book, Fundamentals of Institutional Asset Management. The topics covered include the asset management business and its challenges, the basics of financial accounting, securitization technology, analytical tools (financial econometrics, Monte Carlo simulation, optimization models, and machine learning), alternative risk measures for asset allocation, securities finance, implementing quantitative research, quantitative equity strategies, transaction costs, multifactor models applied to equity and bond portfolio management, and backtesting methodologies. This pedagogic approach exposes the reader to the set of interdisciplinary tools that modern asset managers require in order to extract profits from data and processes.
EAN 9789811222931
ISBN 9811222932
Typ produktu Pevná vazba
Vydavatel World Scientific Publishing Co Pte Ltd
Datum vydání 7. ledna 2021
Stránky 516
Jazyk English
Rozměry 160 x 236 x 35
Země Singapore
Autoři Fabozzi, Francesco A (Stevens Inst Of Technology, Usa); Fabozzi, Frank J (Johns Hopkins Carey Business School, Usa); Lopez De Prado, Marcos (Abu Dhabi Investment Authority, Uae); Stoyanov, Stoyan V (-)
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