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· 분류 : 외국도서 > 경제경영 > 투자/증권 > 일반
· ISBN : 9781119850601
· 쪽수 : 672쪽
· 출판일 : 2021-11-24
목차
Foreword
Preface
Acknowledgments
About the CFA Institute Investment Series
Chapter 1: Introduction to Corporate Governance and Other ESG Considerations
Learning Outcomes
- Introduction and Overview of Corporate Governance
- Stakeholder Groups
- Principal– Agent and Other Relationships in Corporate Governance
- Overview and Mechanisms of Stakeholder Management
- Mechanisms to Mitigate Associated Stakeholder Risks
- Company Boards and Committees
- Relevant Factors in Analyzing Corporate Governance and Stakeholder Management
- Risks and Benefits of Corporate Governance and Stakeholder Management
- Factors Relevant to Corporate Governance and Stakeholder Management Analysis
- ESG Considerations for Investors and Analysts
Summary
Chapter 2: Introduction to Alternative Investments
Learning Outcomes
- Introduction
- Investment Methods
- Investment and Compensation Structures
- Hedge Funds
- Private Capital
- Natural Resources
- Real Estate
- Infrastructure
- Issues in Performance Appraisal
- Calculating Fees and Returns
Summary
Chapter 3: Real Estate Investments
Learning Outcomes
Section A: Overview of Types of Real Estate Investment
- Introduction and Basic Forms of Real Estate Investment
- Economic Value Drivers, Role in Portfolio, and Risk/Return of Real Estate Investments Relative to Stocks and Bonds
- Considerations in Analysis and Due Diligence
- Indexes
Section B: Investments in Real Estate Through Private Vehicles
- Introduction to Valuation Approaches
- The Income Approach to Valuation: Discount Rates and the Direct
- The DCF Method, the Relationship between Discount Rate and Cap Rate, and the Terminal Capitalization Rate
- Private Market Real Estate Debt
Section C: Investments in Real Estate Through Publicly Traded Securities
- Types of Publicly Traded Real Estate Securities
- Valuation: Net Asset Value Approach
- Valuation: Relative Value (Price Multiple) Approach
- REIT Mini Case Study: Example of Disclosures and Valuation Analysis
- Private versus Public: A Comparison
Summary
General Characteristics of Real Estate
Private Equity Real Estate
Publicly Traded Real Estate Securities
Chapter 4: Private Equity Investments
Learning Outcomes
- Introduction
- Introduction to Valuation Techniques in Private Equity Transactions
- Contrasting Venture Capital and Buyout Investments
- LBO Model for Valuation of Buyout Transactions
- VC Method for Valuation of Venture Capital Transactions
- Exit Routes: Return Cash to Investors
- Risks and Costs of investing in Private Equity
- Private Equity Fund Structures and Terms
- Private Equity Fund
Summary
Chapter 5: Introduction to Commodities and Commodity Derivatives
Learning Outcomes
- Introduction
- Commodity Sectors
- Life Cycle of Commodities
- Valuation of Commodities
- Commodities Futures Markets: Participants
- Commodity Spot and Futures Pricing
- Theories of Futures Returns
- Components of Futures Returns
- Contango, Backwardation, and the Roll Return
- Commodity Swaps
- Commodity Indexes
Summary
Chapter 6: Hedge Fund Strategies
Learning Outcomes
- Introduction and Classification of Hedge
- Equity Strategies: Long/Short Equity
- Equity Strategies: Dedicated Short Selling and Short-Biased
- Equity Strategies: Equity Market Neutral
- Event- Driven Strategies: Merger Arbitrage
- Event- Driven Strategies: Distressed Securities
- Relative Value Strategies: Fixed Income Arbitrage
- Relative Value Strategies: Convertible Bond Arbitrage
- Opportunistic Strategies: Global Macro Strategies
- Opportunistic Strategies: Managed Futures
- Specialist Strategies
- Multi- Manager Strategies
- Analysis of Hedge Fund Strategies using a Conditional Factor Risk Model
- Evaluating Equity Hedge Fund Strategies: Application
- Evaluating Multi- manager Hedge Fund Strategies: Application
- Portfolio Contribution of Hedge Fund Strategies
Summary
Chapter 7: Capital Market Expectations: Forecasting Asset Class Returns
Learning Outcomes
- Introduction
- Overview of Tools and Approaches
- Forecasting Fixed Income Returns
- Risks in Emerging Market Bonds
- Forecasting Equity Returns
- Forecasting Real Estate Returns
- Forecasting Exchange Rates
- Forecasting Volatility
- Adjusting a Global Portfolio
Summary
Chapter 8: Asset Allocation to Alternative Investments
Learning Outcomes
- Introduction and The Role of Alternative Investments in a Multi-asset Portfolio
- Diversifying Equity Risk
- Traditional Approaches to Asset Classification
- Risk- Based Approaches to Asset Classification and Comparing Risk- Based and Traditional Approaches
- Risk Considerations, Return Expectations and Investment Vehicle
- Liquidity
- Fees and Expenses, Tax Considerations, and Other Considerations
- Suitability Considerations
- Asset Allocation Approaches and Statistical Properties and Challenges of Asset Returns
- Monte Carlo Simulation
- Portfolio Optimization
- Risk Factor- Based Optimization
- Liquidity Planning and Achieving and Maintaining the Strategic Asset Allocation
- Managing the Capital Calls and Preparing for the Unexpected
- Monitoring the Investment Program
Summary
Chapter 9: Integrated Cases in Risk Management: Institutional
Learning Outcomes
- Introduction
- Financial Risks Faced by Institutional Investors
- Environmental and Social Risks Faced by Institutional Investors
Glossary
About the Editors and Authors
Index