10% off all books and free delivery over £50
Buy from our bookstore and 25% of the cover price will be given to a school of your choice to buy more books. *15% of eBooks.

Risk Parity Fundamentals

View All Editions (1)

The selected edition of this book is not available to buy right now.
Add To Wishlist
Write A Review

About

Risk Parity Fundamentals Synopsis

Discover the Benefits of Risk Parity Investing Despite recent progress in the theoretical analysis and practical applications of risk parity, many important fundamental questions still need to be answered. Risk Parity Fundamentals uses fundamental, quantitative, and historical analysis to address these issues, such as: What are the macroeconomic dimensions of risk in risk parity portfolios? What are the appropriate risk premiums in a risk parity portfolio? What are market environments in which risk parity might thrive or struggle? What is the role of leverage in a risk parity portfolio? An experienced researcher and portfolio manager who coined the term "risk parity," the author provides investors with a practical understanding of the risk parity investment approach. Investors will gain insight into the merit of risk parity as well as the practical and underlying aspects of risk parity investing.

About This Edition

ISBN: 9781498738798
Publication date:
Author: Edward E PanAgora Asset Management, Boston, Massachusetts, USA Qian
Publisher: Chapman & Hall/CRC an imprint of Taylor & Francis Inc
Format: Hardback
Pagination: 246 pages
Genres: Finance and accounting
Applied mathematics
Probability and statistics
Econometrics and economic statistics