Description: Investment Performance Measurement by Bruce J. Feibel Many investment books include a chapter or two on investment performance measurement or focus on a single aspect, but only one book addresses the breadth of the field. Investment Performance Measurement is a comprehensive guide that covers the subjects of performance and risk calculation, attribution, presentation, and interpretation. FORMAT Hardcover LANGUAGE English CONDITION Brand New Publisher Description Many investment books include a chapter or two on investment performance measurement or focus on a single aspect, but only one book addresses the breadth of the field. Investment Performance Measurement is a comprehensive guide that covers the subjects of performance and risk calculation, attribution, presentation, and interpretation. This information-packed book covers a wide range of related topics, including calculation of the returns earned by portfolios; measurement of the risks taken to earn these returns; measurement of the risk and return efficiency of the portfolio and other indicators of manager skill; and much more. By reviewing both the concepts of performance measurement and examples of how they are used, readers will gain the insight necessary to understand and evaluate the management of investment funds. Investment Performance Measurement makes extensive use of fully worked examples that supplement formulas and is a perfect companion to professional courses and seminars for analysts. Bruce J. Feibel, CFA, is Product Manager at Eagle Investment Systems, an investment management software provider located in Newton, Massachusetts. He is responsible for overseeing the development of Eagles investment performance measurement, attribution, and AIMR/GIPS compliance software. Prior to joining Eagle, Mr. Feibel was a principal at State Street Global Advisors. He earned his BS in accounting from the University of Florida. Back Cover Investment performance measurement is the quantification of the results achieved by an investment program. Understanding performance measurement is vital for anyone who participates in the investment process. Investment Performance Measurement is a comprehensive and integrated survey of the steps taken to measure performance as well as a reference guide to the calculation and interpretation of the various risk and return statistics commonly encountered by anyone responsible for selecting, monitoring, and evaluating the performance of investment managers. Written in a clear and accessible style, with each concept developed through fully worked examples, this book is a valuable guide that provides you with critical insights into many areas of this important step in the investment management cycle. This straightforward and well-rounded resource provides a step-by-step guide to the processes used by practitioners to analyze the performance of an investment portfolio. Topics include: Calculation of the returns earned by portfolios and portfolio managers Measurement of the risks taken to earn these returns Measurement of the risk and return efficiency of a portfolio Attribution of value added over the benchmark to management decisions Presentation and interpretation of returns calculated using industry standards Filled with in-depth spreadsheet examples, Investment Performance Measurement gives you all the information youll need to understand and implement the techniques used to measure the performance of an investment. Flap Investment performance measurement is the quantification of the results achieved by an investment program. Understanding performance measurement is vital for anyone who participates in the investment process. Investment Performance Measurement is a comprehensive and integrated survey of the steps taken to measure performance as well as a reference guide to the calculation and interpretation of the various risk and return statistics commonly encountered by anyone responsible for selecting, monitoring, and evaluating the performance of investment managers. Written in a clear and accessible style, with each concept developed through fully worked examples, this book is a valuable guide that provides you with critical insights into many areas of this important step in the investment management cycle. This straightforward and well-rounded resource provides a step-by-step guide to the processes used by practitioners to analyze the performance of an investment portfolio. Topics include: Calculation of the returns earned by portfolios and portfolio managers Measurement of the risks taken to earn these returns Measurement of the risk and return efficiency of a portfolio Attribution of value added over the benchmark to management decisions Presentation and interpretation of returns calculated using industry standards Filled with in-depth spreadsheet examples, Investment Performance Measurement gives you all the information youll need to understand and implement the techniques used to measure the performance of an investment. Author Biography BRUCE J. FEIBEL, CFA, is the Product Manager of Performance Measurement Technology at Eagle Investment Systems, an investment management software provider located in Newton, Massachusetts. Prior to joining Eagle, Feibel was a principal at State Street Global Advisors. He earned a BS in accounting from the University of Florida. Table of Contents Preface. Acknowledgments. CHAPTER 1: Investment Performance Measurement. PART ONE: RETURN MEASUREMENT. CHAPTER 2: Single Period Return. CHAPTER 3: Money-Weighted Return. CHAPTER 4: Time-Weighted Return. CHAPTER 5: Multiperiod Return. CHAPTER 6: Adjusting Returns for Impact of Fees, Taxes, and Currency. CHAPTER 7: Measuring Relative Return. PART TWO: RISK MEASUREMENT. CHAPTER 8: Risk. CHAPTER 9: Absolute Risk. CHAPTER 10: Downside Risk. CHAPTER 11: Relative Risk. PART THREE: MEASURING RISK-ADJUSTED PERFORMANCE. CHAPTER 12: Absolute Risk-Adjusted Return. CHAPTER 13: Downside and Relative Risk-Adjusted Return. CHAPTER 14: Assessing Skill. PART FOUR: PERFORMANCE ATTRIBUTION. CHAPTER 15: Security and Segment Returns. CHAPTER 16: Effective Exposure Basis Returns. CHAPTER 17: Contribution Analysis. CHAPTER 18: Attributing Value Added to Management Decisions. CHAPTER 19: Strategy-Specific Return Decomposition. PART FIVE: PERFORMANCE PRESENTATION. CHAPTER 20: AIMR- and GIPS-Compliant Performance Presentations. Appendix: The AIMR Performance Presentation Standards. Index. Long Description Investment performance measurement is the quantification of the results achieved by an investment program. Understanding performance measurement is vital for anyone who participates in the investment process. Investment Performance Measurement is a comprehensive and integrated survey of the steps taken to measure performance as well as a reference guide to the calculation and interpretation of the various risk and return statistics commonly encountered by anyone responsible for selecting, monitoring, and evaluating the performance of investment managers. Written in a clear and accessible style, with each concept developed through fully worked examples, this book is a valuable guide that provides you with critical insights into many areas of this important step in the investment management cycle. This straightforward and well-rounded resource provides a step-by-step guide to the processes used by practitioners to analyze the performance of an investment portfolio. Topics include: Calculation of the returns earned by portfolios and portfolio managers Measurement of the risks taken to earn these returns Measurement of the risk and return efficiency of a portfolio Attribution of value added over the benchmark to management decisions Presentation and interpretation of returns calculated using industry standards Filled with in-depth spreadsheet examples, Investment Performance Measurement gives you all the information youll need to understand and implement the techniques used to measure the performance of an investment. Feature Includes a comprehensive and integrated survey of each of the steps taken to measure performance.Provides a guide to the calculation, meaning, and interpretation of the various risk and return statistics commonly encountered.A practical reference to the calculation and presentation of historical risk and return statistics. Details ISBN0471268496 Author Bruce J. Feibel Short Title INVESTMENT PERFORMANCE MEASURE Pages 368 Series Frank J. Fabozzi Series Language English ISBN-10 0471268496 ISBN-13 9780471268499 Media Book Format Hardcover DEWEY 332.6 Year 2003 Imprint John Wiley & Sons Inc Place of Publication New York Country of Publication United States Residence US Affiliation ? Edition 1st DOI 10.1604/9780471268499 Series Number 105 UK Release Date 2003-02-25 AU Release Date 2003-02-25 NZ Release Date 2003-02-25 US Release Date 2003-02-25 Publisher John Wiley & Sons Inc Publication Date 2003-02-25 Illustrations Exhibits: 187 B&W, 0 Color Audience Undergraduate We've got this At The Nile, if you're looking for it, we've got it. With fast shipping, low prices, friendly service and well over a million items - you're bound to find what you want, at a price you'll love! TheNile_Item_ID:1292936;
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ISBN-13: 9780471268499
Book Title: Investment Performance Measurement
Number of Pages: 368 Pages
Language: English
Publication Name: Investment Performance Measurement
Publisher: John Wiley & Sons Inc
Publication Year: 2003
Subject: Finance
Item Height: 242 mm
Item Weight: 752 g
Type: Textbook
Author: Bruce J. Feibel
Item Width: 180 mm
Format: Hardcover