Global investment risk management : protecting international portfolios against currency, interest rate, equity, and commodity risk
著者
書誌事項
Global investment risk management : protecting international portfolios against currency, interest rate, equity, and commodity risk
(The Irwin library of investment and finance)
McGraw-Hill, c2000
大学図書館所蔵 件 / 全12件
-
該当する所蔵館はありません
- すべての絞り込み条件を解除する
注記
Includes bibliographical references and index
内容説明・目次
内容説明
GLOBAL INVESTMENT RISK MANAGEMENT outlines hands-on systems, policies, and procedures that will help you take advantage of the returns available in overseas markets, while keeping closer track of the risks--not only those risks you can see but those you cannot. This practical guide to understanding and managing all aspects of international investment risk--from currency and equity risk to interest rate and commodity risk--includes: When, how, and why to use futures, options, swaps, and customized derivatives; Emerging markets investment strategies to help you seize ground-floor opportunities--while hedging against financial meltdowns; Cautionary tales of mega-billion dollar investment debacles--and how they could have been avoided; Long-term global diversification strategies from asset allocation pioneer Roger C. Gibson; Steps to design a detailed risk management program that fits your institution's risk and investment objectives; A detailed introduction and explanation of Value at Risk (VaR); Internet resources for valuable and cost-free global investment risk management information. Combining the knowledge and experience of 20 of the world's foremost global investment experts, GLOBAL INVESTMENT RISK MANAGEMENT is the first guidebook that explains--in practical and easy-to-understand language--how to understand and hedge against everpresent international investment risks. It will help you expand the boundaries of your investment program, ensuring that your organization makes full use of the world of investment opportunities, while sensibly and strategically hedging against international investment risks.Contributors include: David Beers. Vinod Chandrashekaran. Jason Cook. Christopher L. Culp. Ray Dalio. Roger C. Gibson. Steve H. Hanke. Joanne M. Hill. Michael J. Howell. Richard Johnston. Ira G. Kawaller. Ron Mensink. Ranga Nathan. Andrea M.P. Neves. Todd E. Petzel. Steven A. Schoenfeld. Istvan Szoke. Lee Thomas. Maria E. Tsu. Richard Vogel. Ezra Zask
目次
Contributors. Chapter 1: Global Investment Risk Management. Chapter 2: Institutional Use and Control of the Investment Process. Chapter 3: Reducing Risk Using Global Bond Diversification. Chapter 4: The Multiple Dimensions of Global Equity Risk Management - A Practitioner's Perspective. Chapter 5: Currency Observations: Hedging Currency Risks. Chapter 6: Asset Allocation and the Rewards of Multiple-Asset-Class Investing. Chapter 7: Asset Allocation and Portfolio Strategies. Chapter 8: Management of Currency Fluctuations Associated with International Investments. Chapter 9: Sovereign Credit Ratings: A Primer. Chapter 10: Hedgin the Currency Exposure of a Nondollar Portfolio. Chapter 11: Equity Derivatives Strategies and Risk Management. Chapter 12: Value at Risk for Asset Managers. Chapter 13: Trading Risks in International Investments - Why Market-Neutral Strategies Sometimes Fail. Chapter 14: Managing Global Emerging Markets Risk. Chapter 15: Financial Meltdowns and Exchange Rate Regimes. Chapter 16: Asia Questions Risks? Chapter 17: Managing Latin American Investment Risk. Chapter 18: Eastern European Risk Management. Appendix. Index.
「Nielsen BookData」 より