Description
Gregory Connor, etc – Portfolio Risk Analysis
Portfolio risk forecasting has been and continues to be an active research field for both academics and practitioners. Almost all institutional investment management firms use quantitative models for their portfolio forecasting, and researchers have explored models’ econometric foundations, relative performance, and implications for capital market behavior and asset pricing equilibrium. Portfolio Risk Analysis provides an insightful and thorough overview of financial risk modeling, with an emphasis on practical applications, empirical reality, and historical perspective.
Beginning with mean-variance analysis and the capital asset pricing model, the authors give a comprehensive and detailed account of factor models, which are the key to successful risk analysis in every economic climate. Topics range from the relative merits of fundamental, statistical, and macroeconomic models, to GARCH and other time series models, to the properties of the VIX volatility index. The book covers both mainstream and alternative asset classes, and includes in-depth treatments of model integration and evaluation. Credit and liquidity risk and the uncertainty of extreme events are examined in an intuitive and rigorous way. An extensive literature review accompanies each topic. The authors complement basic modeling techniques with references to applications, empirical studies, and advanced mathematical texts.
This book is essential for financial practitioners, researchers, scholars, and students who want to understand the nature of financial markets or work toward improving them.
About the Author
Gregory Connor is professor of finance at the National University of Ireland, Maynooth, and senior research associate at the London School of Economics and Political Science. Lisa R. Goldberg is executive director of analytic initiatives at MSCI Barra and adjunct professor of statistics at the University of California, Berkeley. Robert A. Korajczyk is professor of finance at Northwestern University.
Gregory Connor, etc, Portfolio Risk Analysis, Download etc, Free etc, etc Torrent, etc Review, etc Groupbuy, Download Portfolio Risk Analysis, Free Portfolio Risk Analysis, Portfolio Risk Analysis Torrent, Portfolio Risk Analysis Review, Portfolio Risk Analysis Groupbuy.


Alpesh Patel Package ( Discount 20% )
Public Relations - A Practical Guide to the Basics
Daryl Guppy – Market Trading Tactics – Beating the Odds through Technical Analysis and Money Management
Advertising Cultures - Gender, Commerce, Creativity
Murray E.Jennex – Knowledge Management
Darrell Duffie – Credit Risk
Deconstructing Public Relations - Public Relations Criticism
Armelle Guizot - The Hedge Fund Compliance & Risk Management Guide
Bull’s Eye Investing - Targeting Real Returns In A Smoke And Mirrors Market
THE ORIGINAL FOUS4 & EPIC SEQUEL FOUS4X2
Mike Cooch - 7 Figures Sales Coach Program
Jea Yu – Trading Full Circle
Dan Hollings - Amazoninja Training Course
Alpesh Patel – The Internet Trading Course
STOCK OPTIONS BASICS COURSE - Follow Me Trades
David A.Strachman – Funds of Funds Investing
Lessons from the last Brexit - Behind the tears of Black Wednesday and the rise of George Soros
Thomson Learning – The Video Guide For Spss 13
Practice Mindfulness
OptionTiger – The CondorMAX Iron Condors + DayTradeMAX
Austin Passamonte Package ( Discount 25 % )
George Soros – The Alchemy of Finance
Donald D.Hester – The Evolution of Monetary Policy & Banking in the US
Udemy - The Complete Android Oreo Developer Course – Build 23 Apps!
Jordan Belfort - Straight Line Sales Psychology
George Fontanills & Tom Gentile - Futures and Commodities Home Study Course
John Assaraf – Winning the Game of Fear
GABRIELLA RAPONE – THE SECRETS TO INBOXING EMAILS
Larry Connors – S&P Market Timing Course For E-mini & Options Traders
Dwight Lee - Getting Rich in America
Steven T.Karris - Mathematics for Business, Science & Technology (3rd Ed.)
Reviews
There are no reviews yet.