Hedge Fund Risk Fundamentals: Solving the Risk Management and Transparency Challenge

Hedge Fund Risk Fundamentals: Solving the Risk Management and Transparency Challenge

Product ID: 1576602575 Condition: New

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Product Description

Hedge Fund Risk Fundamentals: Solving the Risk Management and Transparency Challenge

  • Used Book in Good Condition
In the constantly evolving hedge fund marketplace, nothing is more central--but in many ways, more amorphous and elusive--than risk. Yet there remains no standard for analyzing and measuring risk within this highly secretive, largely unregulated field, leaving the thousands of hedge funds--and the tens of thousands of hedge fund investors--in dangerously dim light. The industry has not solved the "transparency" challenge--communicating risk to investors without disclosing proprietary information.

Hedge Fund Risk Fundamentals is the first book to bring these issues to the forefront. With clarity, concision, and minimal math, Richard Horwitz lays out the key components and the cutting-edge processes in the field of hedge fund risk management today. Against that backdrop, he presents a groundbreaking utility destined to set the standard for transparency and risk management within the hedge fund universe.

You’ll learn why, when it comes to risk management, 1 + 1 = 1.41. For all of those perplexed by the difficulties of assessing risk in hedge fund investing, Horwitz’s concepts make for an invaluable road map and a demystifying resource that hedge funds and investors at all levels will find indispensable.

Technical Specifications

Country
USA
Brand
Bloomberg Press
Manufacturer
Bloomberg Pr
Binding
Paperback
EANs
9781576602577