Lars Jaeger – Managing Risk in Alternative Investment Strategies
The widespread curiosity in hedge funds and managed futures may be attributed to the engaging risk-reward traits of Alternative Investment Strategies (AIS) in addition to their low correlation to conventional asset courses. However, in order for AIS to attain their full potential, the trade should tackle investor issues concerning the numerous dangers of AIS investments in addition to the shortage of funding transparency, low liquidity and lengthy redemption intervals.
Managing Risk in Alternative Investment Strategies
gives a concise information to the most recent considering in AIS threat for funding professionals and elaborates on the rising ‘transparency model’ which gives the spine of strong threat administration.
The ebook discusses the ‘art and science’ of efficient hedge fund threat administration together with:
- the properties of Alternative Investment Strategies (Hedge Funds and Managed Futures)
- a radical dialogue of the underlying funding methods
- a comparability of the precise dangers of every technique
- an overview of contemporary monetary threat evaluation instruments
- the ideas of threat administration in an AIS portfolio.
Managing Risk in Alternative Investment Strategies is a perfect information for funding professionals seeking to reap the rewards of different funding methods and management their threat successfully.
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