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Risk-based Approaches to Asset Allocation - Concepts and Practical Applications

English · Paperback / Softback

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Description

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This book focuses on the concepts and applications of risk-based asset allocation. Markowitz's traditional approach to asset allocation suffers from serious drawbacks when implemented. These mainly arise from the estimation risk associated with the necessary input the most critical being expected returns. With the financial crisis, there has been an increasing interest in asset allocation approaches that don't need expected returns as input, known as risk-based approaches. The book provides an analysis of the different solutions that fit this description: the equal-weighting approach, the global minimum-variance approach, the most diversified portfolio approach and the risk parity approach. In addition to a theoretical discussion of these, it presents practical applications in different investment environments. Three different evaluation dimensions are considered to put these approaches to the test: financial efficiency, diversification and portfolio stability.

List of contents

Introduction.- The Traditional Approach to Asset Allocation.- Risk-Based Approaches to Asset Allocation: The Case for Risk Parity.- The Different Risk-Based Approaches to Asset Allocation.- Application of the Risk-Based Approaches to Asset Allocation.- Appendix.

About the author

Maria Debora Braga is Full Professor of Financial Markets and Institutions. She teaches at University of Valle d’Aosta and at SDA Bocconi School of Management. She received her Ph.D in Banking and Finance from Bocconi University and the M.Sc. in Business Administration from the University of Parma. She was Visiting Scholar at the University of London (Birkbeck College) during her Ph.D. and recently she has been Visiting Researcher at Cass Business School (City University London). She is a member of the Italian Scientific Committee of the European Financial Planning Association (€FPA). 

Product details

Authors Maria Debora Braga
Publisher Springer, Berlin
 
Languages English
Product format Paperback / Softback
Released 09.11.2015
 
EAN 9783319243801
ISBN 978-3-31-924380-1
No. of pages 99
Dimensions 157 mm x 235 mm x 6 mm
Weight 193 g
Illustrations VIII, 99 p. 20 illus., 2 illus. in color.
Series SpringerBriefs in Finance
Subjects Social sciences, law, business > Business > Economics

Management, C, Finance, macroeconomics, Finance, general, Economics and Finance, Macroeconomics and Monetary Economics, Macroeconomics/Monetary Economics//Financial Economics, Management & management techniques, Financial Economics, Monetary Economics

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