A quantitative framework to assess the risk-reward profile of non-equity products
Книги

A quantitative framework to assess the risk-reward profile of non-equity products

Книги

A quantitative framework to assess the risk-reward profile of non-equity products

Minenna, M. A quantitative framework to assess the risk-reward profile of non-equity products / M. Minenna. — London : Risk Books, 2011. — XXXII, 310 с.: граф.. — Index: p. 307-310. — ISBN 978-1-906348-59-5 (в пер.).

Аннотация

In A Quantitative Framework to Assess the Risk-Reward Profile of Non-Equity Products, bestselling author and Head of the Quantitative Analysis Unit at Italian regulator CONSOB, Marcello Minenna sets out a new method for achieving this for non-equity investment products. By combining techniques commonly used in markets in a consistent and transferable format, Minenna provides the reader with a toolkit to produce the core information that the investors need to make their investment decisions. This innovative, practical guide offers a way for financial institutions, investors, regulators, issuers and academics to better assess, understand and describe products and make a meaningful comparison between them.
  • УДК:
    330.13
  • ISBN:
    978-1-906348-59-5

Рекомендовано к ознакомлению

Отзывы читателей

0