Alternative Investment Strategies and Risk Management: Improve Your Investment Portfolio's Risk-reward Ratio - Etukuru, Raghurami Reddy, Mba, Caia, Frm, Prm - Books - iUniverse - 9781462050079 - October 5, 2011
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Alternative Investment Strategies and Risk Management: Improve Your Investment Portfolio's Risk-reward Ratio

Etukuru, Raghurami Reddy, Mba, Caia, Frm, Prm

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Alternative Investment Strategies and Risk Management: Improve Your Investment Portfolio's Risk-reward Ratio

In the current environment, it's more important than ever to get familiar with risk management principles and seek out alternative investment strategies carefully to maintain and grow your capital. Written by Raghurami Reddy Etukuru, MBA, CAIA, FRM, PRM, this guidebook introduces you to various alternative investments and risk management concepts in straightforward language. For instance, hedge funds are often seen as risky investments, but they actually provide greater diversification than traditional common stocks. If you engage in the proper hedge fund strategy, you'll also find less volatility. In addition to hedge funds, you will find information and guidance on * various phases of due diligence; * risk metrics, quantitative models and exotic options; * commodities, managed futures, private equities, and real estate; * brokers, auditors, and legal counsel. Get the information you need to make informed decisions about your own finances. Whether you are a businessperson, student, analyst it's imperative for you to develop a deeper understanding of Alternative Investment Strategies and Risk Management.


342 pages, black & white illustrations

Media Books     Paperback Book   (Book with soft cover and glued back)
Released October 5, 2011
ISBN13 9781462050079
Publishers iUniverse
Pages 342
Dimensions 152 × 230 × 21 mm   ·   458 g
Language English