Capocci | The Complete Guide to Hedge Funds and Hedge Fund Strategies | E-Book | sack.de
E-Book

E-Book, Englisch, 557 Seiten, eBook

Reihe: Global Financial Markets

Capocci The Complete Guide to Hedge Funds and Hedge Fund Strategies


2013
ISBN: 978-1-137-26444-2
Verlag: Palgrave Macmillan UK
Format: PDF
Kopierschutz: 1 - PDF Watermark

E-Book, Englisch, 557 Seiten, eBook

Reihe: Global Financial Markets

ISBN: 978-1-137-26444-2
Verlag: Palgrave Macmillan UK
Format: PDF
Kopierschutz: 1 - PDF Watermark



One-stop-guide to the hedge fund industry, investment and trading strategies adopted by hedge funds and the industry's regulation. For anyone with an interest in investing or managing funds, it presents everything practitioners need to know to understand these investment vehicles from their theoretical underpinnings, to how they work in practice.

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Zielgruppe


Research


Autoren/Hrsg.


Weitere Infos & Material


1. What Is a Hedge Fund? 2. Hedge Fund Characteristics 3. Investment Strategies 4. Hedge Fund Performance Over Time 5. Hedge Funds, LTCM and Recent Crises 6. Hedge Funds, Regulation and Mutual Funds Conclusion


Daniel Capocci is Senior Investment Manager at Architas Multi-Manager, a member of the Global AXA Group and has been analysing the hedge fund industry for 15 years firstly as an academic and secondly as a hedge fund investor. On the academic side, Daniel has published research in globally-recognized professional and academic journals, including the Journal of Empirical Finance , the European Journal of Finance and the International Journal of Financial Economics and he has presented at numerous academic and professional conferences. On the investment side, he has spent the bulk of his career analysing individual hedge funds and managing hedge fund portfolios, first investing in offshore funds and more recently focussing his research on alternative UCITS. Daniel published his first book on the topic 'Introduction to Hedge Funds' in 2004 and has contributed to nine other books related to the subject over the years. He holds a PhD from HEC Management School of the University of Liège in Belgium, which focused on the 'Analysis of Hedge Fund Strategies'. He is Chartered Alternative Investment Analyst (CAIA) holder since 2006 and CAIA Chapter Executive. Daniel is Research Associate with the HEC School of Management at the University of Liège in Belgium and with the EDHEC Risk and Asset Management Centre.



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