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Item Details
Title: RECONSIDERING FUNDS OF HEDGE FUNDS
THE FINANCIAL CRISIS AND BEST PRACTICES IN UCITS, TAIL RISK, PERFORMANCE, AND DUE DILIGENCE
By: Greg Gregoriou
Format: Hardback

List price: £90.00


We currently do not stock this item, please contact the publisher directly for further information.

ISBN 10: 0124016995
ISBN 13: 9780124016996
Publisher: ELSEVIER SCIENCE PUBLISHING CO INC
Pub. date: 23 January, 2013
Pages: 592
Description: How will the funds of hedge funds (FoHF) business have to change to survive in the wake of the 2008-2012 financial crisis? This title presents comprehensive views of UCITS as well as the trends in due diligence, risk management, and hedge fund deaths and survivors. It intends to balance academic and professional viewpoints.
Synopsis: How will the funds of hedge funds (FoHF) business have to change to survive in the wake of the 2008-2012 financial crisis? This new research provides valuable insight. Reconsidering Funds of Hedge Funds presents the first comprehensive views of UCITS as well as recent trends in due diligence, risk management, and hedge fund deaths and survivors. The book contains original chapters by 22 academics and 16 hedge fund professionals, and includes two sections on performance: one that looks at UCITS FoHF and one that deals with traditional FoHF performance. Most chapters examine aspects of the 2008-2012 financial crisis, and almost every chapter addresses fund of hedge funds' management process before, during, and after the crisis.
Publication: US
Imprint: Academic Press Inc
Returns: Returnable
Some other items by this author:
ADVANCES IN RISK MANAGEMENT
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ASSET ALLOCATION AND INTERNATIONAL INVESTMENTS (HB)
ASSET ALLOCATION AND INTERNATIONAL INVESTMENTS (PB)
BEST PRACTICES IN MANAGEMENT ACCOUNTING
BEST PRACTICES IN MANAGEMENT ACCOUNTING (HB)
COMMODITY TRADING ADVISORS
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COMMODITY TRADING ADVISORS
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CORPORATE GOVERNANCE AND REGULATORY IMPACT ON MERGERS AND ACQUISITIONS (HB)
CREDIT DERIVATIVES HANDBOOK: GLOBAL PERSPECTIVES, INNOVATIONS, AND MARKET DRIVERS (HB)
DIVERSIFICATION AND PORTFOLIO MANAGEMENT OF MUTUAL FUNDS
DIVERSIFICATION AND PORTFOLIO MANAGEMENT OF MUTUAL FUNDS (HB)
DIVERSIFICATION AND PORTFOLIO MANAGEMENT OF MUTUAL FUNDS (PB)
EMERGING MARKETS
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ENCYCLOPEDIA OF ALTERNATIVE INVESTMENTS
ENCYCLOPEDIA OF ALTERNATIVE INVESTMENTS (HB)
EVALUATING HEDGE FUND AND CTA PERFORMANCE
EVALUATING HEDGE FUND AND CTA PERFORMANCE
EVALUATING HEDGE FUND AND CTA PERFORMANCE (HB)
FINANCIAL ECONOMETRICS MODELING: DERIVATIVES PRICING, HEDGE FUNDS AND TERM STRUCTURE MODELS
FINANCIAL ECONOMETRICS MODELING: DERIVATIVES PRICING, HEDGE FUNDS AND TERM STRUCTURE MODELS (HB)
FINANCIAL ECONOMETRICS MODELING: DERIVATIVES PRICING, HEDGE FUNDS AND TERM STRUCTURE MODELS (PB)
FINANCIAL ECONOMETRICS MODELING: MARKET MICROSTRUCTURE, FACTOR MODELS AND FINANCIAL RISK MEASURES
FINANCIAL ECONOMETRICS MODELING: MARKET MICROSTRUCTURE, FACTOR MODELS AND FINANCIAL RISK MEASURES (HB)
FINANCIAL ECONOMETRICS MODELING: MARKET MICROSTRUCTURE, FACTOR MODELS AND FINANCIAL RISK MEASURES (PB)
FUNDS OF HEDGE FUNDS (HB)
HANDBOOK OF ASIAN FINANCE
HANDBOOK OF ASIAN FINANCE (HB)
HANDBOOK OF ASIAN FINANCE (HB)
HANDBOOK OF ENVIRONMENTAL AND SUSTAINABLE FINANCE (HB)
HANDBOOK OF FRONTIER MARKETS (HB)
HANDBOOK OF FRONTIER MARKETS (HB)
HANDBOOK OF HIGH FREQUENCY TRADING (HB)
HANDBOOK OF INVESTORS' BEHAVIOR DURING FINANCIAL CRISES (PB)
HANDBOOK OF SHORT SELLING (HB)
HANDBOOK OF SHORT SELLING (PB)
HANDBOOK OF TRADING (HB)
HEDGE FUND REPLICATION
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HEDGE FUNDS (HB)
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HEDGE FUNDS AND MANAGED FUTURES (HB)
INITIAL PUBLIC OFFERINGS (IPO) (HB)
INSIDER TRADING
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INTERNATIONAL CORPORATE GOVERNANCE AFTER SARBANES-OXLEY
INTERNATIONAL CORPORATE GOVERNANCE AFTER SARBANES-OXLEY
INTERNATIONAL CORPORATE GOVERNANCE AFTER SARBANES-OXLEY
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INTERNATIONAL MERGERS AND ACQUISITIONS ACTIVITY SINCE 1990 (HB)
INTERNATIONAL TAXATION HANDBOOK (PB)
MERGERS AND ACQUISITIONS
MERGERS AND ACQUISITIONS (HB)
MERGERS AND ACQUISITIONS (PB)
NONLINEAR FINANCIAL ECONOMETRICS: FORECASTING MODELS, COMPUTATIONAL AND BAYESIAN MODELS
NONLINEAR FINANCIAL ECONOMETRICS: FORECASTING MODELS, COMPUTATIONAL AND BAYESIAN MODELS (HB)
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NONLINEAR FINANCIAL ECONOMETRICS: MARKOV SWITCHING MODELS, PERSISTENCE AND NONLINEAR COINTEGRATION (HB)
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OPERATIONAL RISK TOWARD BASEL III
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PENSION FUND RISK MANAGEMENT
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PERFORMANCE EVALUATION OF HEDGE FUNDS (PB)
PERFORMANCE OF MUTUAL FUNDS
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