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Hedge Fund Investing: A Practical Approach to Understanding Investor

Description: A comprehensive guide to alternative investments and a valuable study companion for the CFA, CAIA, FRM and other professional examinations that include hedge fund investing The 2nd Edition offers new material related to portfolio financing, how funds are sold, liquid alternatives, and the challenges faced when trying to value hedge fund management companies. This edition includes updated power point slides, and a companion workbook with an updated set of end of chapter problems and a revised set of over 150 test bank questions. Hedge Fund Investing is a complete guide to alternative investments for students and professionals alike. Written to align with the CAIA curriculum, this book is much more than just an exam preparation resource--it's a fully comprehensive guide to hedge fund investing in today's market, designed to provide professionals with the deep understanding they need to operate effectively. Broad coverage under the alternative investment umbrella includes discussion about hedge funds, derivatives, investment banking, and commercial banking, with specific guidance toward trading, strategy, portfolio management, performance metrics, due diligence, and more. A full set of ancillary materials helps bring this book into the classroom, and provides rigorous reinforcement of the material presented in the text. Alternative investment expertise has become central to the asset management and institutional investment community. This book facilitates clear understanding of the intricacies of the field and guides you through the practical skills needed to successfully navigate this diverse set of asset classes. * Recognize hedge fund trends, flows, and characteristics * Examine major hedge fund strategies and how they interact * Learn the technical side of financing, settlement, and clearance * Measure fund performance and optimize contributing factors Hedge funds and other alternative investments are known for their high reward, but they also come with significant risk. The investment professional's role is to minimize these risks while maximizing reward, but the nuanced nature of these assets dramatically complicates the task. Hedge Fund Investing details every aspect to give you the deep and instinctual understanding you need to operate effectively within the alternative investment sphere. KEVIN R. MIRABILE is a clinical assistant professor of finance and business economics at Fordham University's Gabelli School of Business, where he teaches courses on finance, alternative investing, and hedge funds. During his more than thirty years in financial services, he has held senior executive positions at Larch Lane Advisors, Morgan Stanley, Daiwa Securities, and Barclays Capital. He is a Certified Public Accountant, a member of the Hedge Fund Association's Education Committee, and a member of the Greenwich Roundtable's Founders Council. He also holds a bachelor's degree from S.U.N.Y. Albany, a master's degree in international banking and finance from Boston University, and a doctorate in finance and economics from Pace University. Preface ix Acknowledgments xiii About the Author xv PART ONE Overview CHAPTER 1 The Basics of Hedge Fund Investing 3 CHAPTER 2 Hedge Fund Strategies, Performance Measurement, and Risk 21 CHAPTER 3 Who Invests in Hedge Funds and Why? 39 CHAPTER 4 Industry Trends, Flows, and Characteristics 65 PART TWO Understanding the Strategies CHAPTER 5 Global Macro Investing 87 CHAPTER 6 Equity-Oriented Styles 109 CHAPTER 7 Fixed-Income-Oriented Strategies 143 CHAPTER 8 Multistrategy Funds, Funds of Hedge Funds, and Replication Products 173 CHAPTER 9 Portfolio Financing and Secondary Market Trading 191 PART THREE Evaluating Individual Fund Risk and Reward CHAPTER 10 Measuring Performance and Performance Persistence 213 CHAPTER 11 Impact of Fund Characteristics and Terms on Performance 233 CHAPTER 12 Performing Due Diligence on Specifi c Managers and Funds 247 CHAPTER 13 Evaluating the Roles of Service Providers 271 CHAPTER 14 Observations and Outlook 299 Glossary 309 References and Additional Reading 319 Index 335

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Location: Hillsdale, NSW

End Time: 2025-02-10T07:10:31.000Z

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Hedge Fund Investing: A Practical Approach to Understanding InvestorHedge Fund Investing: A Practical Approach to Understanding Investor

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EAN: 9781119210351

UPC: 9781119210351

ISBN: 9781119210351

MPN: N/A

Book Title: Hedge Fund Investing: A Practical Approach to Unde

Item Length: 22.9 cm

Number of Pages: 368 Pages

Language: English

Publication Name: Hedge Fund Investing: A Practical Approach to Understanding Investor Motivation, Manager Profits, and Fund Performance

Publisher: John Wiley & Sons INC International Concepts

Publication Year: 2016

Subject: Finance

Item Height: 233 mm

Item Weight: 560 g

Type: Textbook

Author: Kevin R. Mirabile

Series: Wiley Finance

Item Width: 175 mm

Format: Hardcover

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