楼主: fengyg
1611 0

Portfolio Risk Analysis [推广有奖]

  • 0关注
  • 17粉丝

已卖:1335份资源

大师

36%

还不是VIP/贵宾

-

威望
0
论坛币
2067 个
通用积分
461.1645
学术水平
11 点
热心指数
24 点
信用等级
11 点
经验
1016 点
帖子
12298
精华
0
在线时间
10640 小时
注册时间
2005-10-23
最后登录
2025-12-29

楼主
fengyg 企业认证  发表于 2010-5-3 22:18:20 |AI写论文

+2 论坛币
k人 参与回答

经管之家送您一份

应届毕业生专属福利!

求职就业群
赵安豆老师微信:zhaoandou666

经管之家联合CDA

送您一个全额奖学金名额~ !

感谢您参与论坛问题回答

经管之家送您两个论坛币!

+2 论坛币
Gregory Connor, Lisa R. Goldberg, Robert A. Korajczyk

Princeton University Press 2010

ISBN: 0691128286

400 pages | 1,5 MB

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.
二维码

扫码加我 拉你入群

请注明:姓名-公司-职位

以便审核进群资格,未注明则拒绝

关键词:Portfolio Analysis Portfoli Analysi alysis Analysis Modeling Portfolio Risk

Portfolio Risk Analysis.rar
下载链接: https://bbs.pinggu.org/a-625945.html

1.5 MB

需要: 30 个论坛币  [购买]

本附件包括:

  • 0691128286.pdf

您需要登录后才可以回帖 登录 | 我要注册

本版微信群
加好友,备注jr
拉您进交流群
GMT+8, 2025-12-29 20:57