Research and Markets, the largest resource for market research information in world providing essential market research reports, industry research, industry analysis, forecasts, market studies, company profiles and country reports.
Welcome - Home - Register - Login - Help/FAQ - 0 items View Basket
Worlds Largest Market Research Resource - 381579 Live Reports
Search Research and Markets
  Search
Enter keywords, a title or
a report id number below.





Advanced   
Company search
Register for free email updates of market research
Currency
  Select a currency for use throughout the site



Viewing report

Order by Fax
Printer Friendly
PDF Brochure
Send to Friend
Enquire before Buying
Hard CopyAdd to Basket



Asset Pricing and Portfolio Performance Models, Strategy and Performance Metrics
Risk Waters, June 1999, Pages: 384


  Description  
  Table of Contents  
    
    
    
   
 Enquire before Buying  
 Send to a Friend  

A comprehensive reference work presenting an original framework for evaluating observed differences in returns across assets

- A selection of new writings and reference papers split into 4 sections:

1) Theory
2) Testing the Models
3) Market Imperfections
4) Portfolio Performance Evaluation

- Designed to provide a set of tools to help distinguish between skill, risk and luck in evaluating actively managed portfolios



Customers who bought this item also bought

Stock Market Liquidity: Implications for Market Microstructure and Asset Pricing

Optimal Portfolio Modeling: Models to Maximize Returns and Control Risk in Excel and R + CD

Advanced Stochastic Models, Risk Assessment, and Portfolio Optimization: The Ideal Risk, Uncertainty, and Performance Measures

The Risk Annual: Technical Papers from The Cutting Edge Section of Risk

Practical Portfolio Performance Measurement and Attribution, plus CD-ROM, 2nd Edition

Theory and Practice of Credit Risk Modelling

Efficient Asset Management: A Practical Guide to Stock Portfolio Optimization and Asset Allocation Includes CD (Financial Management Association Survey and Synthesis Series)

Credit: The Complete Guide to Pricing, Hedging and Risk Management

Mathematical Asset Management

Internal Credit Risk Models - Capital Allocation and Performance Measurement

Portfolio Analysis: Advanced Topics in Performance Measurement, Risk and Attribution

The Value-at-Risk Reference - Key Issues in the Implementation of Market Risk



Top of page


   All rights reserved. � Copyright 2009 Research and Markets
   Terms and conditions Privacy Policy Publishers Employment Opportunities Site Map Link to us Webmaster


Research and Markets RSS Feeds