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Introduction to Risk Parity and Budgeting

About Introduction to Risk Parity and Budgeting

Written by a well-known expert of asset management and risk parity, this book provides an up-to-date treatment of the risk parity approach, an alternative method to Markowitz optimization. It builds financial exposure to equities and commodities, considers credit risk in the management of bond portfolios, and designs long-term investment policy. The first part of the book gives a theoretical account of portfolio optimization and risk parity. Each chapter in the second part presents an application of risk parity to a specific asset class.

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  • Language:
  • English
  • ISBN:
  • 9781482207156
  • Binding:
  • Hardback
  • Pages:
  • 440
  • Published:
  • July 15, 2013
  • Dimensions:
  • 141x222x33 mm.
  • Weight:
  • 764 g.
Delivery: 2-3 weeks
Expected delivery: January 12, 2025
Extended return policy to January 30, 2025
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Description of Introduction to Risk Parity and Budgeting

Written by a well-known expert of asset management and risk parity, this book provides an up-to-date treatment of the risk parity approach, an alternative method to Markowitz optimization. It builds financial exposure to equities and commodities, considers credit risk in the management of bond portfolios, and designs long-term investment policy. The first part of the book gives a theoretical account of portfolio optimization and risk parity. Each chapter in the second part presents an application of risk parity to a specific asset class.

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