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CAIA level II : advanced core topics in alternative investments /

Associationhas developed two examinations thatare used to certify Chartered Alternative Investment Analysts. TheLevel I curriculum builds a foundation in both traditional and alternative investment markets--for example, the range of statistics that are used to define investment performance as well a...

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Detalles Bibliográficos
Clasificación:Libro Electrónico
Autor Corporativo: CAIA Association
Otros Autores: Black, Keith H.
Formato: Electrónico eBook
Idioma:Inglés
Publicado: Hoboken, N.J. : J. Wiley & Sons, ©2012.
Edición:2nd ed.
Colección:CAIA alternative investment analyst series.
Temas:
Acceso en línea:Texto completo (Requiere registro previo con correo institucional)

MARC

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049 |a UAMI 
245 0 0 |a CAIA level II :  |b advanced core topics in alternative investments /  |c Keith H. Black [and others]. 
246 3 0 |a Advanced core topics in alternative investments 
246 3 |a Chartered Alternative Investment Analyst level two 
246 3 |a CAIA level two 
250 |a 2nd ed. 
260 |a Hoboken, N.J. :  |b J. Wiley & Sons,  |c ©2012. 
300 |a 1 online resource (1 volume) :  |b illustrations. 
336 |a text  |b txt  |2 rdacontent 
337 |a computer  |b c  |2 rdamedia 
338 |a online resource  |b cr  |2 rdacarrier 
490 1 |a CAIA knowledge series 
588 0 |a Print version record. 
504 |a Includes bibliographical references and index. 
520 |a Associationhas developed two examinations thatare used to certify Chartered Alternative Investment Analysts. TheLevel I curriculum builds a foundation in both traditional and alternative investment markets--for example, the range of statistics that are used to define investment performance as well asthe many types of hedge fund strategies. The readings for the Level II examfocus on the same strategies, but change the context to one of risk management and portfolio optimization. Level II CAIA exam takershave to work through the following agenda: -asset allocation & portfolio oversight -style analysis -risk management -alternative asset securitization -secondary market creation -performance and style attribution -indexation and benchmarking/ul. 
505 0 |a Series; Title Page; Copyright; Preface; TEN YEARS OF CAIA AND ALTERNATIVE INVESTMENTS; THE HISTORY OF CAIA; BENEFITS OF THE CAIA PROGRAM; STUDYING FOR THE CAIA EXAMS; Acknowledgments; About the Authors; Chapter 1: Introduction; 1.1 OUTLINE OF THIS BOOK; 1.2 STUDYING FOR THE CAIA LEVEL II EXAMINATION; PART One: Asset Allocation and Portfolio Management; Chapter 2: The Endowment Model; 2.1 DEFINING ENDOWMENTS AND FOUNDATIONS; 2.2 INTERGENERATIONAL EQUITY, INFLATION, AND SPENDING CHALLENGES; 2.3 THE ENDOWMENT MODEL; 2.4 WHY MIGHT LARGE ENDOWMENTS OUTPERFORM?; 2.5 CONCLUSION 
505 8 |a Chapter 3: Risk Management for Endowment andFoundation Portfolios3.1 SPENDING RATES AND INFLATION; 3.2 LIQUIDITY ISSUES; 3.3 REBALANCING AND TACTICAL ASSET ALLOCATION; 3.4 TAIL RISK; 3.5 CONCLUSION; Chapter 4: Pension Fund Portfolio Management; 4.1 DEFINED BENEFIT PLANS; 4.2 GOVERNMENTAL SOCIAL SECURITY PLANS; 4.3 DEFINED CONTRIBUTION PLANS; PART Two: Private Equity; Chapter 5: Private Equity Market Landscape; 5.1 MAIN STRATEGIES; 5.2 MAIN DIFFERENCES BETWEEN VENTURE CAPITAL AND BUYOUT; 5.3 PRIVATE EQUITY FUNDS AS INTERMEDIARIES; 5.4 PRIVATE EQUITY FUNDS OF FUNDS AS INTERMEDIARIES 
505 8 |a 5.5 PRIVATE EQUITY FUNDS OF FUNDS VALUE-ADDED5.6 THE RELATIONSHIP LIFE CYCLE BETWEEN LIMITED AND GENERAL PARTNERS; 5.7 THE J-CURVE; 5.8 CONCLUSION; Chapter 6: Private Equity Fund Structure*; 6.1 KEY FEATURES; 6.2 CONFLICTS OF INTEREST; 6.3 FINDING THE BALANCE; Chapter 7: The Investment Process; 7.1 PROCESS DESCRIPTION; 7.2 RISK MANAGEMENT; Chapter 8: Private Equity Portfolio Design; 8.1 THREE APPROACHES TO PRIVATE EQUITY PORTFOLIODESIGN; 8.2 RISK-RETURN MANAGEMENT APPROACHES; 8.3 THE RISK PROFILE OF PRIVATE EQUITY ASSETS; Chapter 9: Fund Manager Selection Process 
505 8 |a 9.1 DETERMINATION OF THE WISH LIST OF FUNDCHARACTERISTICS9.2 DEAL SOURCING; 9.3 DUE DILIGENCE: IMPORTANCE AND LIMITATIONS; 9.4 DECISION AND COMMITMENT; Chapter 10: Measuring Performance and Benchmarking in the Private EquityWorld; 10.1 INDIVIDUAL FUNDS; 10.2 PORTFOLIO OF FUNDS; Chapter 11: Monitoring Private Equity FundInvestments; 11.1 APPROACH TO MONITORING; 11.2 THE MONITORING OBJECTIVES; 11.3 INFORMATION GATHERING IN THE MONITORINGPROCESS; 11.4 ACTIONS RESULTING FROM MONITORING; Chapter 12: Private Equity Fund Valuation; 12.1 NET ASSET VALUE (NAV); 12.2 INTERNAL RATE OF RETURN (IRR) 
505 8 |a 12.3 ECONOMIC VALUE APPROACHChapter 13: Private Equity Fund Discount Rates; 13.1 THE CAPITAL ASSET PRICING MODEL (CAPM); 13.2 PRIVATE EQUITY FUND BETAS; Chapter 14: The Management of Liquidity; 14.1 PRIVATE EQUITY CASH FLOW SCHEDULES; 14.2 SOURCES OF LIQUIDITY; 14.3 INVESTMENT STRATEGIES FOR UNDRAWN CAPITAL; 14.4 CASH FLOW PROJECTIONS; 14.5 OVERCOMMITMENT; 14.6 CONCLUSION; PART Three: Real Assets; Chapter 15: Real Estate as an Investment; 15.1 ATTRIBUTES OF REAL ESTATE; 15.2 ASSET ALLOCATION; 15.3 CATEGORIES OF REAL ESTATE; 15.4 RETURN DRIVERS OF REAL ESTATE 
590 |a O'Reilly  |b O'Reilly Online Learning: Academic/Public Library Edition 
650 0 |a Investments. 
650 0 |a Investment analysis. 
650 0 |a Portfolio management. 
650 0 |a Asset allocation. 
650 0 |a Risk management. 
650 0 |a Investments  |x Examinations  |v Study guides. 
650 0 |a Corporations  |x Finance. 
650 0 |a Business enterprises  |x Finance. 
650 6 |a Investissements. 
650 6 |a Analyse financière. 
650 6 |a Gestion de portefeuille. 
650 6 |a Affectation de l'actif. 
650 6 |a Gestion du risque. 
650 6 |a Investissements  |x Examens  |v Guides de l'étudiant. 
650 7 |a portfolios (financial records)  |2 aat 
650 7 |a risk management.  |2 aat 
650 7 |a BUSINESS & ECONOMICS  |x Investments & Securities  |x General.  |2 bisacsh 
650 7 |a Corporations  |x Finance.  |2 fast  |0 (OCoLC)fst00879841 
650 7 |a Business enterprises  |x Finance.  |2 fast  |0 (OCoLC)fst00842558 
650 7 |a Asset allocation.  |2 fast  |0 (OCoLC)fst00819049 
650 7 |a Investment analysis.  |2 fast  |0 (OCoLC)fst00978180 
650 7 |a Investments.  |2 fast  |0 (OCoLC)fst00978234 
650 7 |a Investments  |x Examinations.  |2 fast  |0 (OCoLC)fst00978262 
650 7 |a Portfolio management.  |2 fast  |0 (OCoLC)fst01072072 
650 7 |a Risk management.  |2 fast  |0 (OCoLC)fst01098164 
655 7 |a Study guides.  |2 fast  |0 (OCoLC)fst01423888 
700 1 |a Black, Keith H. 
710 2 |a CAIA Association. 
776 0 8 |i Print version:  |t CAIA level II.  |b 2nd ed.  |d Hoboken, N.J. : John Wiley & Sons, 2012  |z 1118369750  |w (OCoLC)815515016 
830 0 |a CAIA alternative investment analyst series. 
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