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[金融经济学] Modern Portfolio Management: From Markowitz to Probabilistic Scenario Optimisati   [推广有奖]

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大家开心 发表于 2015-3-16 00:33:01 |AI写论文

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Modern Portfolio Management provides a methodology for portfolio choice based upon modern risk management techniques and a clearer definition of the investment risk/return profile to feature goal-based investing and probabilistic scenario optimisation.

The financial markets have undergone a period of distress that has strained the trusted relationship between investors and financial advisors; new regulation has been forged to push for higher levels of transparency and risk-based communication as part of investment decision-making. This has ignited the quest for better portfolio optimisation techniques that can combine the added-value asymmetry of real products (as they strongly contributed to pre-crisis budgets) with the life-cycle requirements of investors, supported by intuitive graphical representation of seemingly complex mathematical relationships between real portfolios and products as required by regulation.

Upon reading Modern Portfolio Management, readers will understand the importance of simulating real securities (especially fixed income and structured products) during the making of optimal portfolios, as well as the importance of simulating financial investments over time to match in a transparent way actual goals and constraints instead of relying solely upon past performance or personal judgement.

Traditional portfolio management approaches have proven to be ineffective. Probabilistic scenario optimisation is emerging as an appealing alternative framework to facilitate the realignment of investors’ risk/return preferences with the risk/return characteristics of actual investments.

Chapters include:

• A Modern Risk Management Perspective and The Probability Measure
• Dealing with Real Securities and Reinvestment Strategies: Fixed Income, Structured Products and Inflation
• Elicitation and Modeling of Risk/Return Time Profiles
• Review of Markowitz and Black-Litterman approaches
• Probabilistic Scenario Optimisation and Goal-based Investing
• Optimisation Case Studies

This book is a must-read for portfolio managers as well as financial advisors – in particular, all investment managers engaging in (or thinking of engaging in) long-term and goal-based asset allocations.
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Paolo Sironi-Modern Portfolio Management_ From Markowitz to Probabilistic Scenar.pdf (6.29 MB, 需要: 5 个论坛币)


File Size: 18204 KB
Print Length: 239 pages
Publisher: Risk Books (January 29, 2015)
Sold by: Amazon Digital Services, Inc.
Language: English
ASIN: B00SXL3Z1Y
http://www.amazon.com/Modern-Portfolio-Management-Probabilistic-Optimisation-ebook/dp/B00SXL3Z1Y/ref=sr_1_1?ie=UTF8&qid=1426436929&sr=8-1&keywords=Modern+Portfolio+Management%3A+From+Markowitz+to+Probabilistic+Scenario+Optimisation
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关键词:Management Managemen Portfolio Markowitz Portfoli definition investment management techniques investing

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fantuanxiaot(未真实交易用户) 发表于 2015-3-16 01:00:56
楼主这类书籍就该发在量化板块
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koalachen2013(真实交易用户) 在职认证  发表于 2015-3-16 01:31:04
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0jzhang(真实交易用户) 发表于 2015-3-16 05:31:51
Modern Portfolio Management: From Markowitz to Probabilistic Scenario Optimisati

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pensifia(真实交易用户) 发表于 2015-3-16 06:45:31
Thanks for sharing

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aggiewe(未真实交易用户) 发表于 2015-3-16 07:16:25
see....................

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lwell20(真实交易用户) 发表于 2015-3-16 07:23:31
[victory][victory]

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fengyg(未真实交易用户) 企业认证  发表于 2015-3-16 08:17:07
kankan

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wesleyyeung(未真实交易用户) 发表于 2015-3-16 09:09:17
感谢分享

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phoennie(未真实交易用户) 发表于 2015-3-16 10:19:17
匹夫的逆袭

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