Portfolio Theory and Risk Management

Portfolio Theory and Risk Management
Author: Maciej J. CapiƄski
Publisher: Cambridge University Press
Total Pages: 171
Release: 2014-08-07
Genre: Business & Economics
ISBN: 1139991779

With its emphasis on examples, exercises and calculations, this book suits advanced undergraduates as well as postgraduates and practitioners. It provides a clear treatment of the scope and limitations of mean-variance portfolio theory and introduces popular modern risk measures. Proofs are given in detail, assuming only modest mathematical background, but with attention to clarity and rigour. The discussion of VaR and its more robust generalizations, such as AVaR, brings recent developments in risk measures within range of some undergraduate courses and includes a novel discussion of reducing VaR and AVaR by means of hedging techniques. A moderate pace, careful motivation and more than 70 exercises give students confidence in handling risk assessments in modern finance. Solutions and additional materials for instructors are available at www.cambridge.org/9781107003675.

Portfolio Management under Stress

Portfolio Management under Stress
Author: Riccardo Rebonato
Publisher: Cambridge University Press
Total Pages: 519
Release: 2013
Genre: Business & Economics
ISBN: 1107048117

A rigorous presentation of a novel methodology for asset allocation in financial portfolios under conditions of market distress.

Electronic Portfolios

Electronic Portfolios
Author: Barbara L. Cambridge
Publisher: Stylus Publishing (VA)
Total Pages: 244
Release: 2001
Genre: Education
ISBN:

The portfolio is a powerful tool for learning and assessment. This title examines the potential of electronic portfolios by addressing: rationales for creating an electronic portfolio; possible features of the portfolio; examples of practice; cautions; and recommendations. It describes the construction and use of electronic portfolios.

Eportfolios for Lifelong Learning and Assessment

Eportfolios for Lifelong Learning and Assessment
Author: Darren Cambridge
Publisher: John Wiley & Sons
Total Pages: 289
Release: 2010-10-07
Genre: Education
ISBN: 0470901292

This book clearly articulates the foundations of an educational vision that is distinctively supported by eportfolio use, drawing on work in philosophy, sociology, higher and adult education, and elearning research. It is academically rigorous and accessible not only to scholars in a range of disciplines who might study or use eportfolios. It surveys the state-of-the-art of international eportfolio practice and suggests future directions for higher educational institutions in terms of curriculum, assessment, and technology. This resource is written for scholars, support staff, instructional technologists, academic administrators, and policy makers.

Managing Portfolio Credit Risk in Banks: An Indian Perspective

Managing Portfolio Credit Risk in Banks: An Indian Perspective
Author: Arindam Bandyopadhyay
Publisher: Cambridge University Press
Total Pages: 390
Release: 2016-05-09
Genre: Business & Economics
ISBN: 110714647X

This book explains how a proper credit risk management framework enables banks to identify, assess and manage the risk proactively.

Introduction to Mathematical Portfolio Theory

Introduction to Mathematical Portfolio Theory
Author: Mark S. Joshi
Publisher: Cambridge University Press
Total Pages: 327
Release: 2013-07-11
Genre: Business & Economics
ISBN: 1107042313

This concise yet comprehensive guide focuses on the mathematics of portfolio theory without losing sight of the finance.

Professional Development for Language Teachers

Professional Development for Language Teachers
Author: Jack C. Richards
Publisher: Cambridge University Press
Total Pages: 197
Release: 2005-04-04
Genre: Education
ISBN: 052184911X

This much-needed text provides a coherent and strategic approach to teacher development Teacher Development for Language Teachers examines ten different approaches for facilitating professional development in language teaching: self-monitoring, support groups, journal writing, classroom observation, teaching portfolios, analysis of critical incidents, case analysis, peer coaching, team teaching, and action research. The introductory chapter provides a conceptual framework. All chapters contain practical examples and reflection questions to help readers apply the approach in their own teaching context.

Endowment Asset Management

Endowment Asset Management
Author: Shanta Acharya
Publisher: Oxford University Press, USA
Total Pages: 385
Release: 2007-04-19
Genre: Business & Economics
ISBN: 0199210918

This unique study focuses on how the endowment assets of Oxford and Cambridge colleges are invested. Despite their shared missions, each interprets its investment objective differently, often resulting in remarkably dissimilar strategies. This thought provoking study provides new insights for all investors with a long-term investment horizon.

The International Law on Foreign Investment

The International Law on Foreign Investment
Author: M. Sornarajah
Publisher: Cambridge University Press
Total Pages: 555
Release: 2010-05-06
Genre: Law
ISBN: 0521763274

This book is a thought-provoking and authoritative text on this fast moving field of international law.