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Analyse der Risiken und Performance von Hedge Fund Strategien

Analyse der Risiken und Performance von Hedge Fund Strategien

          
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About the Book

Inhaltsangabe: Einleitung: Das Ziel dieser Diplomarbeit ist es dem Leser die Funktionsweise der sehr unterschiedlichen Hedge Fund Strategien und die damit verbundenen Risiken aufzuzeigen. Darüber hinaus wird die Performance der einzelnen Strategien näher analysiert. Viele Veröffentlichungen zum Thema Hedge Funds zeigen die Vorteile und Chancen, vernachlässigen dabei aber die Risiken, die Hedge Fund Strategien in sich bergen. Dadurch kann leicht der Eindruck entstehen, dass es sich bei Hedge Funds um ein risikoloses Investment mit überragender Performance handelt. Dies ist in der Realität allerdings, wie der Fall LTCM zeigte, nicht immer der Fall. Es ist daher für potentielle Investoren in Hedge Funds unerlässlich sich mit den Risiken auseinander zusetzen. Im Gegensatz zu Risiken von Aktien und Anleihen weisen Hedge Funds sehr spezifische Risikofaktoren auf. Diese resultieren aus den von Hedge Funds eingesetzten Instrumenten, wie z.B. Leerverkäufen oder Leverage, und der Strategie des Hedge Funds. Berücksichtigt ein Investor bei der Auswahl eines Hedge Funds auch dessen Strategie und die Risiken dieser Strategie, kann er das Chancen/Risiko-Profil seines Portfolio steuern und optimieren. Zur Einführung und zum besseren Verständnis der Thematik wird im ersten Teil der Arbeit Grundwissen über Hedge Funds vermittelt. Es wird der Begriff Hedge Funds definiert und die allgemeinen Merkmale von Hedge Funds näher erläutert. Die geschichtliche Entwicklung und die Marktstruktur der Hedge Funds runden den ersten Teil ab. Im zweiten Teil folgt eine allgemeine Darstellung der Risiken. Dazu wird der Begriff Risiko definiert und eine Unterscheidung in traditionelle Investmentrisiken und in Hedge Fund spezifische Risiken vorgenommen. Darauf folgt eine detaillierte Erklärung der einzelnen Risiken. Der dritte Teil bildet den Schwerpunkt der Diplomarbeit. Dort erfolgt eine Klassifizierung der einzelnen Hedge Fund Strategien in die Subkategorien Relative Value, Event Driven und Opport


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Product Details
  • ISBN-13: 9783838675411
  • Publisher: Diplom.de
  • Binding: Paperback
  • Language: German
  • Returnable: N
  • Spine Width: 8 mm
  • Width: 148 mm
  • ISBN-10: 383867541X
  • Publisher Date: 18 Dec 2003
  • Height: 210 mm
  • No of Pages: 128
  • Series Title: German
  • Weight: 177 gr


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