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612-822-4611
Investment Theory and Risk Management

Investment Theory and Risk Management

Hardcover

Series: Wiley Finance, Book 711

Investing & Finance

ISBN10: 1118129598
ISBN13: 9781118129593
Publisher: Wiley
Published: Apr 20 2012
Pages: 464
Weight: 1.49
Height: 1.60 Width: 5.90 Depth: 9.10
Language: English
A unique perspective on applied investment theory and risk management from the Senior Risk Officer of a major pension fund

Investment Theory and Risk Management is a practical guide to today's investment environment. The book's sophisticated quantitative methods are examined by an author who uses these methods at the Virginia Retirement System and teaches them at the Virginia Commonwealth University. In addition to showing how investment performance can be evaluated, using Jensen's Alpha, Sharpe's Ratio, and DDM, he delves into four types of optimal portfolios (one that is fully invested, one with targeted returns, another with no short sales, and one with capped investment allocations).

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Investing & Finance