The Interaction Between Risk, Return-Risk Trade-Off and Complexity

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Publisher :
ISBN 13 :
Total Pages : 29 pages
Book Rating : 4.:/5 (13 download)

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Book Synopsis The Interaction Between Risk, Return-Risk Trade-Off and Complexity by : David G. McMillan

Download or read book The Interaction Between Risk, Return-Risk Trade-Off and Complexity written by David G. McMillan and published by . This book was released on 2016 with total page 29 pages. Available in PDF, EPUB and Kindle. Book excerpt: This paper examines two aspects of bank risk with a particular emphasis on examining the interaction between them. Moreover, throughout the analysis we differentiate between non-complex and complex banks, the latter of which could be seen as holding a further level of risk. We wish to establish how these risk behaviours interact with bank specific, market structure and economic factors. Key results indicate that earnings volatility (business risk) increases with market power but decrease with size and output. While risk-taking (managerial risk) decreases with market power and increases with size and output. Furthermore, in examining return per unit of risk, results demonstrate that increase return and risk-taking is associated with bank specific factors and the economic environment, whereas decreased risk taking is associated with market structure. This suggests a management of risk, which increases around factors under bank control or improving external environment but decreases with the interaction of competitors. Overall, the results suggest that policy should focus on liquidity and equity buffers that should operate counter-cyclicality but size and market structure per se are not determining factors for higher risk. In terms of the recent financial crisis, it is likely that the great moderation that proceeded it lead to higher risk-taking due to higher economic growth but without the necessary buffers being built up.

Principles and Practice of Impact Investing

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Publisher : Routledge
ISBN 13 : 1351284746
Total Pages : 280 pages
Book Rating : 4.3/5 (512 download)

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Book Synopsis Principles and Practice of Impact Investing by : Veronica Vecchi

Download or read book Principles and Practice of Impact Investing written by Veronica Vecchi and published by Routledge. This book was released on 2017-09-08 with total page 280 pages. Available in PDF, EPUB and Kindle. Book excerpt: Impact investing is gaining global attention from society, governments and businesses. Increasingly, it is seen as a new paradigm to deal with the economic crisis and curtailed public budgets, an answer to the diversified needs of society. It now ranks high on the policy agenda of governments and international organizations, and private investors are searching for new investment opportunities to channel the liquidity available. This book is the first to look at impact investing as a "refocus" of venture capital to sustain the development of societal impact enterprises. Principles and Practice of Impact Investing collects chapters from international experts on the subject, discussing the foundations of the movement, analysing leading international cases and debating future trends in the field. It also includes interviews with some of the most influential stakeholders of impact investing across the world. The book is an inspirational and practical guide for actors and stakeholders to enable better understanding of impact investing. Taking an international perspective, the chapters primarily deal with mature economies, setting it apart from the existing literature focused on emerging countries. The book will be of interests to practitioners and executives, as well as researchers and MBA students.

Risk-Return Relationship and Portfolio Management

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Publisher : Springer Nature
ISBN 13 : 8132239504
Total Pages : 323 pages
Book Rating : 4.1/5 (322 download)

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Book Synopsis Risk-Return Relationship and Portfolio Management by : Raj S. Dhankar

Download or read book Risk-Return Relationship and Portfolio Management written by Raj S. Dhankar and published by Springer Nature. This book was released on 2019-10-24 with total page 323 pages. Available in PDF, EPUB and Kindle. Book excerpt: This book covers all aspects of modern finance relating to portfolio theory and risk–return relationship, offering a comprehensive guide to the importance, measurement and application of the risk–return hypothesis in portfolio management. It is divided into five parts: Part I discusses the valuation of capital assets and presents various techniques and models used in this context. Part II then addresses market efficiency and capital market models, particularly focusing on measuring market efficiency, which is a crucial factor in making correct investment decisions. It also analyzes the major capital market models like CAPM and APT to determine to what extent they are suitable for use in developing economies. Part III highlights the significance of risk–return analysis as a prerequisite for investment decisions, while Part IV examines the selection and performance appraisals of portfolios against the backdrop of the risk–return relationship. It also examines new tools such as the value-at-risk application for mutual funds and the applications of the price-to-earnings ratio in portfolio performance measurement. Lastly, Part V explores contemporary issues in finance, including the relevance of Islamic finance in the increasingly volatile global financial system.

Modeling and Simulation in Engineering, Economics, and Management

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Publisher : Springer
ISBN 13 : 3642382797
Total Pages : 279 pages
Book Rating : 4.6/5 (423 download)

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Book Synopsis Modeling and Simulation in Engineering, Economics, and Management by : María Ángeles Fernández-Izquierdo

Download or read book Modeling and Simulation in Engineering, Economics, and Management written by María Ángeles Fernández-Izquierdo and published by Springer. This book was released on 2013-06-01 with total page 279 pages. Available in PDF, EPUB and Kindle. Book excerpt: This book contains the refereed proceedings of the International Conference on Modeling and Simulation in Engineering, Economics, and Management, MS 2013, held in Castellón de la Plana, Spain, in June 2013. The event was co-organized by the AMSE Association and the SoGReS Research Group of the Jaume I University. This edition of the conference paid special attention to modeling and simulation in diverse fields of business management. The 28 full papers in this book were carefully reviewed and selected from 65 submissions. They are organized in topical sections on: modeling and simulation in CSR and sustainable development; modeling and simulation in finance and accounting; modeling and simulation in management and marketing; modeling and simulation in economics and politics; knowledge-based expert and decision support systems; and modeling and simulation in engineering.

Advanced Studies of Financial Technologies and Cryptocurrency Markets

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Publisher : Springer Nature
ISBN 13 : 9811544980
Total Pages : 256 pages
Book Rating : 4.8/5 (115 download)

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Book Synopsis Advanced Studies of Financial Technologies and Cryptocurrency Markets by : Lukáš Pichl

Download or read book Advanced Studies of Financial Technologies and Cryptocurrency Markets written by Lukáš Pichl and published by Springer Nature. This book was released on 2020-07-29 with total page 256 pages. Available in PDF, EPUB and Kindle. Book excerpt: This book shows that research contributions from different fields—finance, economics, computer sciences, and physics—can provide useful insights into key issues in financial and cryptocurrency markets. Presenting the latest empirical and theoretical advances, it helps readers gain a better understanding of financial markets and cryptocurrencies. Bitcoin was the first cryptocurrency to use a peer-to-peer network to prevent double-spending and to control its issue without the need for a central authority, and it has attracted wide public attention since its introduction. In recent years, the academic community has also started gaining interest in cyptocurrencies, and research in the field has grown rapidly. This book presents is a collection of the latest work on cryptocurrency markets and the properties of those markets. This book will appeal to graduate students and researchers from disciplines such as finance, economics, financial engineering, computer science, physics and applied mathematics working in the field of financial markets, including cryptocurrency markets.

A Peek at the Trade-off Relationship Between Expected Return and Risk

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Publisher :
ISBN 13 :
Total Pages : 50 pages
Book Rating : 4.:/5 (248 download)

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Book Synopsis A Peek at the Trade-off Relationship Between Expected Return and Risk by : Robert Summers

Download or read book A Peek at the Trade-off Relationship Between Expected Return and Risk written by Robert Summers and published by . This book was released on 1965 with total page 50 pages. Available in PDF, EPUB and Kindle. Book excerpt:

FUNDAMENTALS OF FINANCIAL MANAGEMENT

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Publisher : PHI Learning Pvt. Ltd.
ISBN 13 : 8120351142
Total Pages : 669 pages
Book Rating : 4.1/5 (23 download)

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Book Synopsis FUNDAMENTALS OF FINANCIAL MANAGEMENT by : BHABATOSH BANERJEE

Download or read book FUNDAMENTALS OF FINANCIAL MANAGEMENT written by BHABATOSH BANERJEE and published by PHI Learning Pvt. Ltd.. This book was released on 2015-05-01 with total page 669 pages. Available in PDF, EPUB and Kindle. Book excerpt: Financial Management is so crucial for any organization––public or private sector––as profit maximization and increasing the shareholder value depend, to a large measure, on efficient and effective financial management of the company or firm. With this end in view, Professor Bhabatosh Banerjee, drawing from his expertise and his rich and long years of experience, gives a masterly analysis of the fundamental principles of financial management along with their applications. While retaining the distinguishing features of the previous edition, the book is now a much more comprehensive one on Financial Management. Significant changes have been incorporated into the chapters relating to cost of capital, analysis of leverages, capital structure theories and planning, capital budgeting decision, working capital management, changes in financial position, accounting ratios and financial statement analysis, mergers and acquisitions and corporate governance for further value addition of the book. The book is logically organized into five parts—Part I: Basic Concepts, Part II: Financial and Dividend Decisions, Part III: Investing in Long-term and Short-term Assets, Part IV: Performance Analysis and Measurement, Part V: Contemporary Topics—to enable the students to understand the concepts, with suitable cases, chronologically and more effortlessly. This book is primarily intended as a text for the students of commerce and management courses. It will also be highly useful for those appearing in CA and ICWAI examinations. In addition, the text will benefit practising finance and accounting professionals, corporate managers, and participants in management development programs. KEY FEATURES • Includes numerous illustrations, worked-out problems and exercises covering recent questions in university and professional examinations. • Gives corporate practices in professional management, wherever found necessary. This will enable the students to acquaint themselves with real-life situations. • Provides Case Studies in a few complex chapters to enhance the analytical and presentation skills of the students in a classroom setting.

Risk Management

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Publisher : John Wiley & Sons
ISBN 13 : 9781883249359
Total Pages : 232 pages
Book Rating : 4.2/5 (493 download)

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Book Synopsis Risk Management by : Sergio M. Focardi

Download or read book Risk Management written by Sergio M. Focardi and published by John Wiley & Sons. This book was released on 1998-01-15 with total page 232 pages. Available in PDF, EPUB and Kindle. Book excerpt: Risk management is one of the most critical areas in investment and finance-especially in today's volatile trading environment. With Risk Management: Framework, Methods, and Practice you'll learn about risk management across industries through firsthand, real life war stories rather than mathematical formulas. Concise and readable, it covers both the theoretical underpinnings of risk management, as well as practical techniques for coping with financial market volatility. Focardi and Jonas give you a broad conceptual view of risk management: how far we have progressed, and the problems that remain. Using vivid analogies, this book takes you through key risk measurement issues such as fat tails and extreme events, the pros and cons of VAR, and the different ways of modeling credit risk. This book is a rarity in that it does not presuppose any knowledge of sophisticated mathematical techniques, but rather interprets these in their intuitive sense.

Routledge Handbook of Behavioral Economics

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Publisher : Routledge
ISBN 13 : 1317589246
Total Pages : 435 pages
Book Rating : 4.3/5 (175 download)

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Book Synopsis Routledge Handbook of Behavioral Economics by : Roger Frantz

Download or read book Routledge Handbook of Behavioral Economics written by Roger Frantz and published by Routledge. This book was released on 2016-08-05 with total page 435 pages. Available in PDF, EPUB and Kindle. Book excerpt: There is no doubt that behavioral economics is becoming a dominant lens through which we think about economics. Behavioral economics is not a single school of thought but representative of a range of approaches, and uniquely, this volume presents an overview of them. The wide spectrum of international contributors each provides an exploration of a central approach, aspect or topic in behavorial economics. Taken together, the whole volume provides a comprehensive overview of the subject which considers both key developments and future possibilities. Part One presents several different approaches to behavioural economics, including George Katona, Ken Boulding, Harvey Leibenstein, Vernon Smith, Herbert Simon, Gerd Gigerenzer, Daniel Kahneman, and Richard Thaler. This section looks at the origins and development of behavioral economics and compares and contrasts the work of these scholars who have been so influential in making this area so prominent. Part Two presents applications of behavioural economics including nudging; heuristics; emotions and morality; behavioural political economy, education, and economic innovation. The Routledge Handbook of Behavioral Economics is ideal for advanced economics students and faculty who are looking for a complete state-of-the-art overview of this dynamic field.

Complexity Theory and Law

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Publisher : Routledge
ISBN 13 : 1351658174
Total Pages : 292 pages
Book Rating : 4.3/5 (516 download)

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Book Synopsis Complexity Theory and Law by : Jamie Murray

Download or read book Complexity Theory and Law written by Jamie Murray and published by Routledge. This book was released on 2018-07-17 with total page 292 pages. Available in PDF, EPUB and Kindle. Book excerpt: This collection of essays explores the different ways the insights from complexity theory can be applied to law. Complexity theory – a variant of systems theory – views law as an emergent, complex, self-organising system comprised of an interactive network of actors and systems that operate with no overall guiding hand, giving rise to complex, collective behaviour in law communications and actions. Addressing such issues as the unpredictability of legal systems, the ability of legal systems to adapt to changes in society, the importance of context, and the nature of law, the essays look to the implications of a complexity theory analysis for the study of public policy and administrative law, international law and human rights, regulatory practices in business and finance, and the practice of law and legal ethics. These are areas where law, which craves certainty, encounters unending, irresolvable complexity. This collection shows the many ways complexity theory thinking can reshape and clarify our understanding of the various problems relating to the theory and practice of law.

Beyond the Worst-Case Analysis of Algorithms

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Publisher : Cambridge University Press
ISBN 13 : 1108786170
Total Pages : 705 pages
Book Rating : 4.1/5 (87 download)

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Book Synopsis Beyond the Worst-Case Analysis of Algorithms by : Tim Roughgarden

Download or read book Beyond the Worst-Case Analysis of Algorithms written by Tim Roughgarden and published by Cambridge University Press. This book was released on 2021-01-14 with total page 705 pages. Available in PDF, EPUB and Kindle. Book excerpt: There are no silver bullets in algorithm design, and no single algorithmic idea is powerful and flexible enough to solve every computational problem. Nor are there silver bullets in algorithm analysis, as the most enlightening method for analyzing an algorithm often depends on the problem and the application. However, typical algorithms courses rely almost entirely on a single analysis framework, that of worst-case analysis, wherein an algorithm is assessed by its worst performance on any input of a given size. The purpose of this book is to popularize several alternatives to worst-case analysis and their most notable algorithmic applications, from clustering to linear programming to neural network training. Forty leading researchers have contributed introductions to different facets of this field, emphasizing the most important models and results, many of which can be taught in lectures to beginning graduate students in theoretical computer science and machine learning.

Institutional Investor Study Report of the Securities and Exchange Commission

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Publisher :
ISBN 13 :
Total Pages : 1482 pages
Book Rating : 4.3/5 ( download)

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Book Synopsis Institutional Investor Study Report of the Securities and Exchange Commission by : United States. Securities and Exchange Commission

Download or read book Institutional Investor Study Report of the Securities and Exchange Commission written by United States. Securities and Exchange Commission and published by . This book was released on 1971 with total page 1482 pages. Available in PDF, EPUB and Kindle. Book excerpt:

Advances in Investment Analysis and Portfolio Management

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Publisher : Center for PBBEFR & Airiti Press
ISBN 13 : 9868430704
Total Pages : 214 pages
Book Rating : 4.8/5 (684 download)

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Book Synopsis Advances in Investment Analysis and Portfolio Management by : Cheng-Few Lee

Download or read book Advances in Investment Analysis and Portfolio Management written by Cheng-Few Lee and published by Center for PBBEFR & Airiti Press. This book was released on 2008-03-01 with total page 214 pages. Available in PDF, EPUB and Kindle. Book excerpt: Advances in Investment Analysis and Portfolio Management (New Series) is an annual publication designed to disseminate developments in the area of investment analysis and portfolio management. The publication is a forum for statistical and quantitative analyses of issues in security analysis, portfolio management, options, futures, and other related issues. The objective is to promote interaction between academic research in finance, economics, and accounting and applied research in the financial community. The chapters in this volume cover a wider range of topics including equity markets, risk return trade-off analysis and portfolio management, and IPOs. In this volume there are 10 chapters, four of them analyze the issues of equity markets: 1. Revisiting U.S. Stock Market Returns: Individual Retirement Accounts; 2. Asset Returns and Monetary Policy in the Emerging Taiwan Financial Markets; 3. On the Intradaily Relationship between Information Revelation and Trade Duration: The Evidence of MSCI Taiwan Stock Index Futures; and 4. Does the Net Flow of Funds Help to Predict the S&P 500 Index? Four of the other six chapters discuss risk return trade-off analysis and portfolio management: 1. An Intertemporal Analysis of Optimal International Asset Allocation; 2. Complexity and the Performance of Investment Portfolios; 3. The Similarity Between Mean-Variance and Mean-Gini: Testing for Equality of Gini Correlations; 4. Estimating Capital Market Parameters: CRSP Versus Yahoo Data. The remaining two papers are related to IPOs: 1. Distinguishing Quality within the IPO Market and 2. Do IPO Firms have Lower Risk? Evidence from IPO Performance in Different States of the World? In sum, this annual publication covers equity markets, IPO, risk return trade-off analysis, and portfolio management. Therefore, the material covered in this publication is not only useful for academicians and but also for practitioners in the area of Finance.

Institutional Investor Study Report of the Securities and Exchange Commission

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Publisher :
ISBN 13 :
Total Pages : 544 pages
Book Rating : 4.3/5 (243 download)

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Book Synopsis Institutional Investor Study Report of the Securities and Exchange Commission by : United States. Congress House. Committee on Interstate and Foreign Commerce

Download or read book Institutional Investor Study Report of the Securities and Exchange Commission written by United States. Congress House. Committee on Interstate and Foreign Commerce and published by . This book was released on 1971 with total page 544 pages. Available in PDF, EPUB and Kindle. Book excerpt:

Quantitative Management of Bond Portfolios

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Publisher : Princeton University Press
ISBN 13 : 069120277X
Total Pages : 998 pages
Book Rating : 4.6/5 (912 download)

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Book Synopsis Quantitative Management of Bond Portfolios by : Lev Dynkin

Download or read book Quantitative Management of Bond Portfolios written by Lev Dynkin and published by Princeton University Press. This book was released on 2020-05-26 with total page 998 pages. Available in PDF, EPUB and Kindle. Book excerpt: The practice of institutional bond portfolio management has changed markedly since the late 1980s in response to new financial instruments, investment methodologies, and improved analytics. Investors are looking for a more disciplined, quantitative approach to asset management. Here, five top authorities from a leading Wall Street firm provide practical solutions and feasible methodologies based on investor inquiries. While taking a quantitative approach, they avoid complex mathematical derivations, making the book accessible to a wide audience, including portfolio managers, plan sponsors, research analysts, risk managers, academics, students, and anyone interested in bond portfolio management. The book covers a range of subjects of concern to fixed-income portfolio managers--investment style, benchmark replication and customization, managing credit and mortgage portfolios, managing central bank reserves, risk optimization, and performance attribution. The first part contains empirical studies of security selection versus asset allocation, index replication with derivatives and bonds, optimal portfolio diversification, and long-horizon performance of assets. The second part covers portfolio management tools for risk budgeting, bottom-up risk modeling, performance attribution, innovative measures of risk sensitivities, and hedging risk exposures. A first-of-its-kind publication from a team of practitioners at the front lines of financial thinking, this book presents a winning combination of mathematical models, intuitive examples, and clear language.

New Institutional Economics as Situational Logic

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Publisher : Taylor & Francis
ISBN 13 : 1317653645
Total Pages : 361 pages
Book Rating : 4.3/5 (176 download)

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Book Synopsis New Institutional Economics as Situational Logic by : Piet de Vries

Download or read book New Institutional Economics as Situational Logic written by Piet de Vries and published by Taylor & Francis. This book was released on 2023-08-04 with total page 361 pages. Available in PDF, EPUB and Kindle. Book excerpt: Drawing on phenomenological and realist approaches, this book surveys the theoretical evolution of new institutional economics. For all its popularity and explanatory power, new institutional economics is not a homogenous field but encompasses a range of different theoretical approaches starting from Coase and the introduction of transaction costs. In particular, the concept of rationality is a rich source of dispute leading to a bifurcation between ‘insider’ and ‘outsider’ perspectives. The insider view refers to studying conscious human beings – the economic actor – who seek their self-interest and find themselves in their mundane situation. The self-interest of the economic actor bestows him with logic. It makes the logic of the situation the method of economics, as Karl Popper establishes. Thus, the book argues for the positioning of new institutional economics as situational logic, that is, an economic theory that formulates and studies single-exit situations that face the economic actor. Ultimately, this book presents a critical appraisal of new institutional economics theories based on a substantiated methodological perspective that effectively navigates the theorist between realism and rigor. This book will be of interest to readers of new institutional economics, economic theory, and the philosophy of economics and social sciences.

Transaction Banking and the Impact of Regulatory Change

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Publisher : Springer
ISBN 13 : 1137351772
Total Pages : 197 pages
Book Rating : 4.1/5 (373 download)

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Book Synopsis Transaction Banking and the Impact of Regulatory Change by : R. Wandhöfer

Download or read book Transaction Banking and the Impact of Regulatory Change written by R. Wandhöfer and published by Springer. This book was released on 2015-12-17 with total page 197 pages. Available in PDF, EPUB and Kindle. Book excerpt: This book takes you on a journey through post-crisis regulatory reform, highlighting the unintended consequences of some of the measures on transaction banking, a business that provides the backbone of financial markets.