Investing in Hedge Funds
A Guide to Measuring Risk and Return Characteristics
- 1 Edición - 29 de junio de 2013
- Última edición
- Autores: Turan Bali, Yigit Atilgan, Ozgur Demirtas
- Idioma: Inglés
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 fr… Leer más
Descripción
Descripción
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.
Puntos claves
Puntos claves
- Presents new insights about the investability and performance measurement of an investor’s final portfolio
- Uses most recently developed investable hedge fund indexes to revise previous analyses of indexes
- Focuses on 14 distinct types of hedge fund indices with daily data from January 1994 to December 2011
De interès para
De interès para
Índice
Índice
Chapter 1. Introduction
1.1 What Are Hedge Funds?
1.2 The History and the Future
1.3 Academic Perspective
1.4 The Aim of the Book
Chapter 2. Hedge Fund Strategies
2.1 Event-Driven Strategies
2.2 Equity Hedge Strategies
2.3 Relative Value Strategies
2.4 Global Macro Strategies
2.5 Other Strategies
2.6 Funds of Hedge Funds
Chapter 3. Hedge Fund Databases, Biases, and Indices
3.1 Hedge Fund Data Biases
3.2 Hedge Fund Databases and Indices
3.3 Hedge Fund Index Return Distributions
Chapter 4. Risk-Adjusted Performances of Hedge Fund Indices
4.1 Sharpe Ratio
4.2 Sortino Ratio
4.3 Return to VaR Ratio
4.4 Calmar Ratio
Chapter 5. Determinants of Hedge Fund Index Returns
5.1 Predictability of Hedge Fund Index Returns by Moments of the Return Distribution
5.2 Predictability of Hedge Fund Index Returns by Exposures to Macroeconomic Risk Factors
References
Reseñas
Reseñas
"...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
Detalles del producto
Detalles del producto
- Edición: 1
- Última edición
- Publicado: 29 de junio de 2013
- Idioma: Inglés
Sobre los autores
Sobre los autores
TB
Turan Bali
YA
Yigit Atilgan
OD