Complying with the global investment performance standards (GIPS)
著者
書誌事項
Complying with the global investment performance standards (GIPS)
(The Frank J. Fabozzi series)
J. Wiley & Sons, c2011
- : hbk
大学図書館所蔵 全3件
  青森
  岩手
  宮城
  秋田
  山形
  福島
  茨城
  栃木
  群馬
  埼玉
  千葉
  東京
  神奈川
  新潟
  富山
  石川
  福井
  山梨
  長野
  岐阜
  静岡
  愛知
  三重
  滋賀
  京都
  大阪
  兵庫
  奈良
  和歌山
  鳥取
  島根
  岡山
  広島
  山口
  徳島
  香川
  愛媛
  高知
  福岡
  佐賀
  長崎
  熊本
  大分
  宮崎
  鹿児島
  沖縄
  韓国
  中国
  タイ
  イギリス
  ドイツ
  スイス
  フランス
  ベルギー
  オランダ
  スウェーデン
  ノルウェー
  アメリカ
注記
Includes index
内容説明・目次
内容説明
The first and only comprehensive explanation of GIPS, including how to comply with and implement them While the CFA Institute has published Global Investment Performance Standards (GIPS) for years, there has never been a serious discussion of their implementation and best use.
In this new book, that void is filled, and you'll quickly discover how to calculate, present, and interpret investment performance conforming to standards that are currently used in over thirty countries worldwide. Covering both the mathematics of relevant investment statistics and the policies and procedures for achieving and maintaining compliance, this book is a comprehensive guide to successfully using GIPS standards in today's turbulent investment environment.
Chapters include information on GIPS fundamentals, performance composites, risk and dispersion measurement, and much more
Examples are provided throughout, and supplemental formulas make the book usable as a reference
Provides the detailed knowledge currently needed by a large group of investment professionals
If you're in the field of finance, Complying with the Global Investment Performance Standards (GIPS) is a book you need to read.
目次
About the Authors xi Preface xiii
Acknowledgments xv
Introduction xvii
PART ONE: Explanation of the GIPS Standards
CHAPTER 1. Fundamentals of Compliance 3
Scope of the GIPS Standards 3
History of the GIPS Standards 4
Governance of the GIPS Standards 5
Organization of the GIPS Standards 7
Fundamentals of Compliance 8
Summary 12
CHAPTER 2. Defining the Firm and Composites 13
Defining the Firm 13
Defining Composites 23
Summary 50
PART TWO: The Methodology for Calculating Returns
CHAPTER 3. Portfolio Return Measurement 53
Single Period Rate of Return 54
Time Value of Money 63
Performance of the Investor: Money Weighted Returns 67
Internal Rate of Return 71
Performance of the Investment Manager: Time Weighted Returns 77
Portfolio Return Calculations for the GIPS Standards 82
Summary 90
CHAPTER 4. Composite Return Measurement 91
Composite Constituents 91
Composite Returns 93
Single Period Composite Return Considerations 97
Multi-period Composite Returns 100
Summary 107
CHAPTER 5. Dispersion and Risk Measurement 109
Internal Dispersion 109
Equal Weighted Dispersion 111
Asset Weighted Dispersion 114
Risk 119
Summary 137
PART THREE: Reporting and Maintaining Compliance with the GIPS Standards
CHAPTER 6. Disclosing and Advertising Composite Performance 141
Required Numerical Information 141
Required Disclosures 149
Length of Time for Disclosures 168
Presentation and Disclosure Recommendations 168
Supplemental Information 170
GIPS Advertising Guidelines 171
Summary 177
CHAPTER 7. Wrap-Fee/SMA, Private Equity, and Real Estate 179
Wrap-Fee/Separately Managed Accounts 180
Private Equity 188
Real Estate 198
Summary 203
CHAPTER 8. Maintaining Compliance with the GIPS Standards 205
Organization and Oversight 205
Return Calculation 211
Error Correction 215
Managing Composites and Presentations 220
Summary 226
CHAPTER 9. Verification 227
Verification 228
Performance Examinations 229
Verification Considerations 230
Required Verification Procedures 234
The Verifier's Report 241
Preparing for Verification 241
Summary 245
Index 247
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