Investing in Hedge Funds: A Guide to Measuring Risk and Return Characteristics

Investing in Hedge Funds: A Guide to Measuring Risk and Return Characteristics book cover

Investing in Hedge Funds: A Guide to Measuring Risk and Return Characteristics

Author(s): Turan G. Bali (Author)

  • Publisher: Academic Press
  • Publication Date: 10 July 2013
  • Language: English
  • Print length: 186 pages
  • ISBN-10: 0124047319
  • ISBN-13: 9780124047310

Book Description

This book will present a comprehensive view of the risk characteristics, risk-adjusted performances, and risk exposures of various hedge fund indices. It will distinguish itself from other books and journal articles by focusing solely on hedge fund indices and emphasizing tail risk as a predictor of hedge fund index returns. The three chapters in this short book have not been previously published.

Editorial Reviews

Review

“…a very intuitive and comprehensive introduction to hedge funds. I consider this to be an excellent book for students interested in alternative investments, practitioners dealing with hedge funds as clients, and investors seeking to investigate the past performance of hedge fund indices.” –Financial Markets and Portfolio Management

“Bali,…Atilgan,…and Demirtas…present an overview of how hedge funds have performed over the past 20 years. They discuss present risk and return characteristics for a wide range of hedge fund indices; fund databases and their biases; changes in performance in the recent global financial crisis; and linkages between index returns and macroeconomic factors.” —Reference & Research Book News, December 2013

Review

Investigates the risk and return characteristics of 14 hedge fund indices, emphasizing tail risk as a predictor of returns

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