Portfolio Insurance

This book PDF is perfect for those who love Business & Economics genre, written by Donald Luskin and published by Wiley which was released on 16 March 1988 with total hardcover pages 322. You could read this book directly on your devices with pdf, epub and kindle format, check detail and related Portfolio Insurance books below.

Portfolio Insurance
Author : Donald Luskin
File Size : 50,5 Mb
Publisher : Wiley
Language : English
Release Date : 16 March 1988
ISBN : 0471858498
Pages : 322 pages
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Portfolio Insurance by Donald Luskin Book PDF Summary

Portfolio insurance has become a craze among institutional investors: over the past ten years, the value of assets managed under this strategy has grown from zero to more than -50 billion. This guide offers complete coverage and practical advice on every aspect of the subject. It clearly defines the characteristics of portfolio insurance, providing background on its history and the theory of hedging, going on to describe how to implement a hedging strategy, how to fit portfolio insurance into long-term financial planning, using index and financial futures and options in hedging, and techniques for measuring performance. Also included is a discussion of how portfolio insurance operates in the international arena.

Portfolio Insurance

Portfolio insurance has become a craze among institutional investors: over the past ten years, the value of assets managed under this strategy has grown from zero to more than -50 billion. This guide offers complete coverage and practical advice on every aspect of the subject. It clearly defines the characteristics

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Portfolio Insurance and VaRoP  A Comparison

Scientific Essay from the year 2021 in the subject Business economics - Investment and Finance, , language: English, abstract: Investments in money and capital markets involve different loss potentials that market participants should be able to manage. Below follows an overview and comparison of selected strategies to manage these risks. Portfolio insurance (

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Portfolio Insurance reloaded

Dieses essential gibt einen Überblick zu aktuellen Erscheinungsformen der Portfolio Insurance sowie zur Anwendbarkeit der Constant-Proportion-Portfolio-Insurance mit vielfältigen Finanztiteln auf unterschiedlichen Geld- und Kapitalmärkten. Die empirische Untersuchung mit historischen Daten dazu umfasst einen Zeitraum von über sechs Jahren und ist in diesem Umfang ohne Vergleich. Die Darstellung und

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Option Based Porfolio Insurance  Analysis of Protective Put and Synthetic Put Investment Strategies

Bachelor Thesis from the year 2016 in the subject Business economics - General, grade: 1.7, University of Frankfurt (Main), language: English, abstract: Risk aversion is a common trait among investors. While it is possible to reduce risk attributed to specific industries and regions by diversifying among different securities, market risk affects all

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Investment Management for Insurers details all phases of the investment management process for insurers as well as fixed income instruments and derivatives and state-of-the-art analytical tools for valuing securities and measuring risk. Complete coverage includes: a general overview of issues, fixed income products, valuation, measuring and controlling interest rate risk,

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Extreme Events in Finance

A guide to the growing importance of extreme value risk theory, methods, and applications in the financial sector Presenting a uniquely accessible guide, Extreme Events in Finance: A Handbook of Extreme Value Theory and Its Applications features a combination of the theory, methods, and applications of extreme value theory (EVT)

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Financial Derivatives

Understand derivatives in a nonmathematical way Financial Derivatives, Third Edition gives readers a broad working knowledge of derivatives. For individuals who want to understand derivatives without getting bogged down in the mathematics surrounding their pricing and valuation Financial Derivatives, Third Edition is the perfect read. This comprehensive resource provides a

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Simplifying Portfolio Insurance for Corporate Pension Plans

Download or read online Simplifying Portfolio Insurance for Corporate Pension Plans written by Fischer Black,Robert Jones,Goldman, Sachs & Co, published by Unknown which was released on 1986. Get Simplifying Portfolio Insurance for Corporate Pension Plans Books now! Available in PDF, ePub and Kindle.

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