logo
logo
x
바코드검색
BOOKPRICE.co.kr
책, 도서 가격비교 사이트
바코드검색

인기 검색어

일간
|
주간
|
월간

실시간 검색어

검색가능 서점

도서목록 제공

Alternative Investments

Alternative Investments (Hardcover)

John Wiley & Sons Inc
192,500원

일반도서

검색중
서점 할인가 할인률 배송비 혜택/추가 실질최저가 구매하기
154,000원 -20% 0원
4,620원
149,380원 >
yes24 로딩중
교보문고 로딩중
notice_icon 검색 결과 내에 다른 책이 포함되어 있을 수 있습니다.

중고도서

검색중
서점 유형 등록개수 최저가 구매하기
로딩중

eBook

검색중
서점 정가 할인가 마일리지 실질최저가 구매하기
로딩중

책 이미지

Alternative Investments
eBook 미리보기

책 정보

· 제목 : Alternative Investments (Hardcover) 
· 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

  1. Introduction and Overview of Corporate Governance
  2. Stakeholder Groups
  3. Principal– Agent and Other Relationships in Corporate Governance
  4. Overview and Mechanisms of Stakeholder Management
  5. Mechanisms to Mitigate Associated Stakeholder Risks
  6. Company Boards and Committees
  7. Relevant Factors in Analyzing Corporate Governance and Stakeholder Management
  8. Risks and Benefits of Corporate Governance and Stakeholder Management
  9. Factors Relevant to Corporate Governance and Stakeholder Management Analysis
  10. ESG Considerations for Investors and Analysts

          Summary

 

Chapter 2: Introduction to Alternative Investments

          Learning Outcomes

  1. Introduction
  2. Investment Methods
  3. Investment and Compensation Structures
  4. Hedge Funds
  5. Private Capital
  6. Natural Resources
  7. Real Estate
  8. Infrastructure
  9. Issues in Performance Appraisal
  10. Calculating Fees and Returns

          Summary

 

Chapter 3: Real Estate Investments

           Learning Outcomes

Section A: Overview of Types of Real Estate Investment

  1. Introduction and Basic Forms of Real Estate Investment
  2. Economic Value Drivers, Role in Portfolio, and Risk/Return of Real Estate Investments Relative to Stocks and Bonds
  3. Considerations in Analysis and Due Diligence
  4. Indexes

Section B: Investments in Real Estate Through Private Vehicles

  1. Introduction to Valuation Approaches
  2. The Income Approach to Valuation: Discount Rates and the Direct
  3. The DCF Method, the Relationship between Discount Rate and Cap Rate, and the Terminal Capitalization Rate
  4. Private Market Real Estate Debt

Section C: Investments in Real Estate Through Publicly Traded Securities

  1. Types of Publicly Traded Real Estate Securities
  2. Valuation: Net Asset Value Approach
  3. Valuation: Relative Value (Price Multiple) Approach
  4. REIT Mini Case Study: Example of Disclosures and Valuation Analysis
  5. 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

  1. Introduction
  2. Introduction to Valuation Techniques in Private Equity Transactions
  3. Contrasting Venture Capital and Buyout Investments
  4. LBO Model for Valuation of Buyout Transactions
  5. VC Method for Valuation of Venture Capital Transactions
  6. Exit Routes: Return Cash to Investors
  7. Risks and Costs of investing in Private Equity
  8. Private Equity Fund Structures and Terms
  9. Private Equity Fund

          Summary

 

Chapter 5: Introduction to Commodities and Commodity Derivatives

           Learning Outcomes

  1. Introduction
  2. Commodity Sectors
  3. Life Cycle of Commodities
  4. Valuation of Commodities
  5. Commodities Futures Markets: Participants
  6. Commodity Spot and Futures Pricing
  7. Theories of Futures Returns
  8. Components of Futures Returns
  9. Contango, Backwardation, and the Roll Return
  10. Commodity Swaps
  11. Commodity Indexes

          Summary

 

Chapter 6: Hedge Fund Strategies

           Learning Outcomes

  1. Introduction and Classification of Hedge
  2. Equity Strategies: Long/Short Equity
  3. Equity Strategies: Dedicated Short Selling and Short-Biased
  4. Equity Strategies: Equity Market Neutral
  5. Event- Driven Strategies: Merger Arbitrage
  6. Event- Driven Strategies: Distressed Securities
  7. Relative Value Strategies: Fixed Income Arbitrage
  8. Relative Value Strategies: Convertible Bond Arbitrage
  9. Opportunistic Strategies: Global Macro Strategies
  10. Opportunistic Strategies: Managed Futures
  11. Specialist Strategies
  12. Multi- Manager Strategies
  13. Analysis of Hedge Fund Strategies using a Conditional Factor Risk Model
  14. Evaluating Equity Hedge Fund Strategies: Application
  15. Evaluating Multi- manager Hedge Fund Strategies: Application
  16. Portfolio Contribution of Hedge Fund Strategies

          Summary

 

Chapter 7: Capital Market Expectations: Forecasting Asset Class Returns

          Learning Outcomes

  1. Introduction
  2. Overview of Tools and Approaches
  3. Forecasting Fixed Income Returns
  4. Risks in Emerging Market Bonds
  5. Forecasting Equity Returns
  6. Forecasting Real Estate Returns
  7. Forecasting Exchange Rates
  8. Forecasting Volatility
  9. Adjusting a Global Portfolio

          Summary

 

Chapter 8: Asset Allocation to Alternative Investments

           Learning Outcomes

  1. Introduction and The Role of Alternative Investments in a Multi-asset Portfolio
  2. Diversifying Equity Risk
  3. Traditional Approaches to Asset Classification
  4. Risk- Based Approaches to Asset Classification and Comparing Risk- Based and Traditional Approaches
  5. Risk Considerations, Return Expectations and Investment Vehicle
  6. Liquidity
  7. Fees and Expenses, Tax Considerations, and Other Considerations
  8. Suitability Considerations
  9. Asset Allocation Approaches and Statistical Properties and Challenges of Asset Returns
  10. Monte Carlo Simulation
  11. Portfolio Optimization
  12. Risk Factor- Based Optimization
  13. Liquidity Planning and Achieving and Maintaining the Strategic Asset Allocation
  14. Managing the Capital Calls and Preparing for the Unexpected
  15. Monitoring the Investment Program

           Summary

 

Chapter 9: Integrated Cases in Risk Management: Institutional

           Learning Outcomes

  1. Introduction
  2. Financial Risks Faced by Institutional Investors
  3. Environmental and Social Risks Faced by Institutional Investors

 

Glossary

About the Editors and Authors

Index

저자소개

CFA Institute (지은이)    정보 더보기
CFA Institute는 국제재무분석사(Chartered Financial Analyst? (CFA)) 자격증을 부여하는 비영리 기관입니다. CFA Institute의 설립 목적은, 궁극적으로 사회에 도움이 되기 위해 최고 수준의 윤리, 교육, 그리고 탁월한 전문성을 제고함으로써 전 세계 투자업계를 이끌어가는 것입니다. 전 세계 165개국에 약 167,000여 명의 회원을 보유하고 있으며, 73개국에 CFA Institute를 대표하는 157개의 지역협회가 있습니다. CFA 한국협회(www.cfasociety.org/korea)는 CFA Institute의 한국 내 업무를 대표하는 지역협회로 2000년 2월 5일에 설립되었으며, 2019년 말 기준 약 1,100여 명의 회원이 있습니다. CFA?, Chartered Financial Analyst?, AIMR-PPS? 및 GIPS?는 CFA Institute가 보유한 상표 중 일부입니다. CFA Institute 상표 목록과 CFA Institute 상표 이용 가이드를 보려면, 당사 웹사이트(www.cfainstitute.org)를 방문하시기 바랍니다.
펼치기
이 포스팅은 쿠팡 파트너스 활동의 일환으로,
이에 따른 일정액의 수수료를 제공받습니다.
이 포스팅은 제휴마케팅이 포함된 광고로 커미션을 지급 받습니다.
도서 DB 제공 : 알라딘 서점(www.aladin.co.kr)
최근 본 책