BlackRock's guide to fixed-income risk management

"Changing market dynamics, technological advances, and geopolitical stresses have transformed investment risk management over the last 20 years. As new and bespoke products have emerged, new risks and additional complexities have driven advances in risk management processes and analytics. Furth...

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Körperschaft: John Wiley & Sons (Verlag)
Weitere Verfasser: Golub, Bennett W. (HerausgeberIn)
Format: UnknownFormat
Sprache:eng
Veröffentlicht: Hoboken, New Jersey Wiley 2024
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Beschreibung
Zusammenfassung:"Changing market dynamics, technological advances, and geopolitical stresses have transformed investment risk management over the last 20 years. As new and bespoke products have emerged, new risks and additional complexities have driven advances in risk management processes and analytics. Furthermore, investors' priorities are shifting with the rise of sustainability, resulting in the growth of environmental, social and governance (ESG) products and investment strategies. Given the abundance of change, risk managers have adapted their processes and tools to address market turbulence, structural bond market changes, product complexity, ESG strategies and regulatory oversight. Having a strong risk management culture coupled with comprehensive risk management processes allows risk managers to rapidly adapt to new circumstances. Using BlackRock's investment risk paradigm as the underlying structure, this book blends investment risk management practices with new concepts and models to help practitioners manage risk. While the book focuses primarily on fixed income risk practices, analytics and models, the concepts and theories presented can be applied to other asset classes. The book also shares lessons learned during and after the 2008 Financial Crisis as well as some preliminary thoughts on the impacts of the Coronavirus Pandemic"--
Beschreibung:Literaturverzeichnis: Seite 373-382
Beschreibung:xxxiii, 408 Seiten
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ISBN:9781119884873
978-1-119-88487-3