Increasingly, institutional investors demand an investment process that is tempered by a keen risk awareness and supported by risk management practices that are integrated throughout the investment organization. As the demand for risk management has increased, so has the sophistication of the tools available to clients and investment managers, bringing both advances and complications. In addressing the new challenges of risk management, the authors in this proceedings delve into an array of topics-the use of risk management for pension funds and alternative investments, Monte Carlo simulation, risk budgeting, and more. Proceedings of the AIMR seminar "Risk Management 2003: Quality Control of the Investment Process"
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Book Description AIMR (CFA Institute), 2003. Paperback. Book Condition: New. book. Bookseller Inventory # M1932495053
Book Description AIMR (CFA Institute), 2003. Paperback. Book Condition: New. Never used!. Bookseller Inventory # P111932495053
Book Description AIMR (CFA Institute), 2003. Paperback. Book Condition: Brand New. 100 pages. 10.60x8.30x0.30 inches. In Stock. Bookseller Inventory # 1932495053