By displaying examples of derivatives applications in a series of investment settings, this book aims to educate readers on the use of these instruments. It helps readers to bridge the gap between the theory and practice of derivative instruments. It provides real-world applications of derivatives demonstrating how they can be used to achieve specific investment purposes, and will be of interest to investment management professionals including portfolio managers, risk managers, and trustees, alongside professors teaching and students studying asset management.
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Frank J. Fabozzi has authored and edited many books on asset management. He received the CFA Institute Research Foundation's James R. Vertin Award in 2015 and the C. Stewart Sheppard Award in 2007. In 2002, Frank was inducted into the Fixed Income Society's Hall of Fame. From 1988-2023, he served on the board of directors of the BlackRock fixed income complex. Frank earned an MA and a BA in economics in 1970 from the City College of New York and was elected to Phi Beta Kappa in 1969. He earned a PhD in economics in 1972 from the Graduate Center of the City University of New York and was awarded an honorary doctorate of humane letters (LHD) in 1994 from Nova Southeastern University, He holds two professional designations: Chartered Financial Analyst (1977) and Certified Public Accountant (1982).
Marielle de Jong is an associate professor in finance at the Grenoble Ecole de Management, Paris, France (GEM) since 2020. She teaches portfolio management, fixed income, and sustainable investing. She holds an MSc in econometrics from Rotterdam Erasmus University, an MSc in operational research from Cambridge University, and a PhD in finance from Aix-Marseille University. She is editor-in-chief of the Journal of Asset Management, academic director of the US doctoral program (DBA) at GEM, and research fellow of the Louis Bachelier Institute. Prior to becoming a professor, Marielle worked in the investment management industry for 25 years, in the City of London and in Paris. From 2011 to 2020, she headed the fixed-income quant research team at Amundi.
Les informations fournies dans la section « A propos du livre » peuvent faire référence à une autre édition de ce titre.
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Buch. Etat : Neu. This item is printed on demand - it takes 3-4 days longer - Neuware -By displaying examples of derivatives applications in a series of investment settings, this book aims to educate readers on the use of these instruments. It helps readers to bridge the gap between the theory and practice of derivative instruments. It provides real-world applications of derivatives demonstrating how they can be used to achieve specific investment purposes, and will be of interest to investment management professionals including portfolio managers, risk managers, and trustees, alongside professors teaching and students studying asset management. 471 pp. Englisch. N° de réf. du vendeur 9783031863530
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Hardcover. Etat : new. Hardcover. By displaying examples of derivatives applications in a series of investment settings, this book aims to educate readers on the use of these instruments. It helps readers to bridge the gap between the theory and practice of derivative instruments. It provides real-world applications of derivatives demonstrating how they can be used to achieve specific investment purposes, and will be of interest to investment management professionals including portfolio managers, risk managers, and trustees, alongside professors teaching and students studying asset management. It provides real-world applications of derivatives demonstrating how they can be used to achieve specific investment purposes, and will be of interest to investment management professionals including portfolio managers, risk managers, and trustees, alongside professors teaching and students studying asset management. This item is printed on demand. Shipping may be from our UK warehouse or from our Australian or US warehouses, depending on stock availability. N° de réf. du vendeur 9783031863530
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