Risk Management for Investment Funds: A Practical Guide for European Funds in International Markets

Risk Management for Investment Funds: A Practical Guide for European Funds in International Markets
Author :
Publisher : McGraw Hill Professional
Total Pages : 506
Release :
ISBN-10 : 9781264267200
ISBN-13 : 1264267207
Rating : 4/5 (207 Downloads)

Book Synopsis Risk Management for Investment Funds: A Practical Guide for European Funds in International Markets by : Luc Neuberg

Download or read book Risk Management for Investment Funds: A Practical Guide for European Funds in International Markets written by Luc Neuberg and published by McGraw Hill Professional. This book was released on 2023-02-14 with total page 506 pages. Available in PDF, EPUB and Kindle. Book excerpt: The first comprehensive risk management guide to European investment funds The European investment fund market is one of the biggest financial markets in the world—with a total value of approximately 22 trillion EUR. To help investors understand how risk is managed in this vast market, Risk Management for Investment Funds provides a comprehensive yet practical guide, written by four financial experts from diverse and complementary backgrounds: former heads of risk management, university teachers, professional trainers and an expert with a supervisory financial authority. Risk Management for Investment Funds offers valuable insights into managing risk for UCITS funds and alternative investment funds, while covering the following aspects: The framework of European investment funds Regulatory requirements related to risk management that apply to funds and fund managers Traditional market, liquidity, credit, counterparty and operational risks faced by funds, their managers and investors Emerging risks related to climate change and technology Analytical methods and innovative techniques developed by successful risk managers to assess and manage risks, as well as the theories underlying them Packed with a wealth of information that cannot be found in other books on risk management, this authoritative guide to managing the risks of European funds is the most comprehensive publication on this important topic.


Risk Management for Investment Funds: A Practical Guide for European Funds in International Markets Related Books

Risk Management for Investment Funds: A Practical Guide for European Funds in International Markets
Language: en
Pages: 506
Authors: Luc Neuberg
Categories: Business & Economics
Type: BOOK - Published: 2023-02-14 - Publisher: McGraw Hill Professional

DOWNLOAD EBOOK

The first comprehensive risk management guide to European investment funds The European investment fund market is one of the biggest financial markets in the wo
A practical guide to UCITS funds and their risk management
Language: en
Pages: 143
Authors: Charles Muller
Categories: Business & Economics
Type: BOOK - Published: 2013-07-25 - Publisher: Primento

DOWNLOAD EBOOK

A must-have book about investments ! UCITS funds today represent a major share of European funds. The European directives started with UCITS I in the mids 1980s
Country Risk Assessment
Language: en
Pages: 286
Authors: Michel Henry Bouchet
Categories: Business & Economics
Type: BOOK - Published: 2003-10-31 - Publisher: John Wiley & Sons

DOWNLOAD EBOOK

One of the few books on the subject, Country Risk Assessment combines the theoretical and practical tools for managing international country risk exposure. - Of
Applied Asset and Risk Management
Language: en
Pages: 491
Authors: Marcus Schulmerich
Categories: Business & Economics
Type: BOOK - Published: 2014-10-20 - Publisher: Springer

DOWNLOAD EBOOK

This book is a guide to asset and risk management from a practical point of view. It is centered around two questions triggered by the global events on the stoc
Liquidity Stress Tests for Investment Funds: A Practical Guide
Language: en
Pages: 34
Authors: Antoine Bouveret
Categories: Business & Economics
Type: BOOK - Published: 2017-10-31 - Publisher: International Monetary Fund

DOWNLOAD EBOOK

This paper outlines a framework to perform liquidity stress tests for investment funds. Practical aspects related to the calibration of the redemption shock, th