RiskGrade Your Investments: Measure Your Risk and Create Wealth

Author:   Gregory Elmiger ,  Steve S. Kim
Publisher:   John Wiley and Sons Ltd
ISBN:  

9780471418610


Pages:   260
Publication Date:   31 December 2002
Format:   Hardback
Availability:   Out of stock   Availability explained


Our Price $79.07 Quantity:  
Add to Cart

Share |

RiskGrade Your Investments: Measure Your Risk and Create Wealth


Add your own review!

Overview

Praise for RiskGrade Your Investments ""In the same way that the introduction of RiskMetrics raised the level of the discussion (and sometimes debate) regarding market risk measurement and management at large financial institutions, the introduction of RiskGrades and this book represent a major step in the understanding and application of risk measurement and management techniques by individual investors."" Charles Smithson, Managing Partner, Rutter Associates, and author of Managing Financial Risk What Others Are Saying About RiskGrades.com Forbes' best of the web 2002: ""Savvy analysis, all free."" ""A new and impressive Web-based service that promises to offer a clue to the question of how risky is your portfolio. RiskMetrics has been measuring portfolio risk for big financial institutions since 1994 and now sheds some light on investor risk. RiskGrades helps investors combine risk and return to make proper investment decisions."" BusinessWeek ""Owning a high percentage of company stock in a retirement plan any more than 20 percent is one of the riskiest propositions in investing, and yet employees almost never measure this risk objectively or reduce their positions...It is easy to approximate investment risk. A useful tool for measuring risk is available through RiskMetrics Group's www riskgrades.com, a service that will measure the volatility and return of single securities or whole portfolios against all asset classes and international regions."" Financial Times ""Without divining what exactly a fund owns, the system simply distills risk down to the likelihood of finding a severe change in its value on a given day...Running a few notable funds through the rating bath can be a useful check on what an investor is putting on the line for a given dollar of investment gains."" Barron's ""Mathematicians and economists use complex computer programs to examine the effects of different shocks on different portfolios. Such tests have been used for several years by professionals who manage multimillion-dollar investment funds. But RiskMetrics, a spinoff of J.P. Morgan Chase, is now providing similar tools for individual investors. RiskMetrics runs a Web site, www riskgrades.com, which investors can use free of charge. The Web site allows investors to stress-test individual stocks and mutual funds as well as portfolios."" The Wall Street Journal

Full Product Details

Author:   Gregory Elmiger ,  Steve S. Kim
Publisher:   John Wiley and Sons Ltd
Imprint:   John Wiley & Sons Inc
Dimensions:   Width: 16.00cm , Height: 2.50cm , Length: 23.60cm
Weight:   0.482kg
ISBN:  

9780471418610


ISBN 10:   0471418617
Pages:   260
Publication Date:   31 December 2002
Audience:   College/higher education ,  Professional and scholarly ,  Undergraduate ,  Postgraduate, Research & Scholarly
Format:   Hardback
Publisher's Status:   Out of Stock Indefinitely
Availability:   Out of stock   Availability explained

Table of Contents

Introduction. Answer One Question. The Dilemma Facing Today's Investors. What Is Risk? Return Is Only Half the Equation. Buy, Hold, or Sell? Asset Allocation. Diversification. Risk Tolerance. Developing Your Portfolio's True Picture of Risk. This Old Portfolio. The Final Frontier. Appendix. Glossary. Notes. Index.

Reviews

Author Information

GREGORY ELMIGER is a retail risk product specialist at the RiskMetrics Group, a New York--based company that specializes in risk management. Greg is an original member of the group at RiskMetrics that developed RiskGrades and is responsible for helping oversee the day-to-day operations and ongoing development of the RiskGrades service. Since joining RiskMetrics in 1999, Greg has actively developed an integrated library of Web-based courses, training programs, and research to help clients increase their overall level of awareness and understanding of risk. Prior to joining RiskMetrics, Greg was a vice president at Zoologic, a company that specializes in developing computer-based training software for financial professionals. STEVE S. KIM is a trader at Marathon Asset Management, a hedge fund based in New York. Previously, Steve was an emerging markets trader at Banco Santander and part of the product team at RiskMetrics that helped develop and implement RiskGrades as an emerging standard for risk measurement. Before joining RiskMetrics, Steve was a vice president at UBS Warburg, where he was part of a team in charge of building the relative value and credit derivatives book. Steve received a bachelor of arts from the University of California at Berkeley, graduating with high honors. He holds a master's degree in international affairs from Columbia University. ETHAN BERMAN is CEO of the RiskMetrics Group. Ethan is responsible for overall business strategy and vision for the company and spends his time engaged in business development, strategic partnerships, and customer relationships. Before spinning off RiskMetrics from J.P. Morgan, Ethan was a bond trader and eventually headed up the mortgage-backed securities business, the North American taxable sales force, and the government option and zero-coupon trading desk at Morgan. He became a managing director at J.P. Morgan, responsible for the firm's Risk Management Services Group. There he developed risk products such as RiskMetrics and CreditMetrics. In 1997, Ethan was named one of the new stars of global finance by BusinessWeek.

Tab Content 6

Author Website:  

Customer Reviews

Recent Reviews

No review item found!

Add your own review!

Countries Available

All regions
Latest Reading Guide

MRG2025CC

 

Shopping Cart
Your cart is empty
Shopping cart
Mailing List