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Innovations in Pension Fund Management Hardcover Arun S. Muralidh

Free US Delivery | ISBN:0804745218
US $12.86
ApproximatelyΒ£9.69
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β€œFormer library book; may include library markings. Used book that is in excellent condition. May ”... Read moreAbout condition
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Item specifics

Condition
Very Good
A book that has been read and does not look new, but is in excellent condition. No obvious damage to the book cover, with the dust jacket (if applicable) included for hard covers. No missing or damaged pages, no creases or tears, no underlining or highlighting of text, and no writing in the margins. Some identifying marks on the inside cover, but this is minimal. Very little wear and tear. See the seller’s listing for full details and description of any imperfections. See all condition definitionsopens in a new window or tab
Seller notes
β€œFormer library book; may include library markings. Used book that is in excellent condition. May ...
Features
EX-LIBRARY
Book Title
Innovations in Pension Fund Management Hardcover Arun S. Muralidh
ISBN
9780804745215

About this product

Product Identifiers

Publisher
Stanford University Press
ISBN-10
0804745218
ISBN-13
9780804745215
eBay Product ID (ePID)
1982444

Product Key Features

Number of Pages
360 Pages
Publication Name
Innovations in Pension Fund Management
Language
English
Subject
Pension Law, Finance / General
Publication Year
2002
Type
Textbook
Author
Arun S. Muralidhar
Subject Area
Law, Business & Economics
Format
Hardcover

Dimensions

Item Height
0.6 in
Item Weight
23.5 Oz
Item Length
9 in
Item Width
6 in

Additional Product Features

Intended Audience
Scholarly & Professional
LCCN
2001-049224
Reviews
"Not only does Arun Muralidhar know a lot about the implementation of pension fund investment strategy, he also knows the theory. And what he tells us in this new book is right at the frontier of our knowledge."-David Blake, Director of the Pensions Institute, University of London, "This book shows sponsors, investors, academic researchers, and students of the field how to establish formal processes for efficient asset management in a wide range of financial institutions, including private and government pension systems, endowments, life and casualty insurance programs, and central banks."β€” Reference and Research Book News, "Not only does Arun Muralidhar know a lot about the implementation of pension fund investment strategy, he also knows the theory. And what he tells us in this new book is right at the frontier of our knowledge."--David Blake, Director of the Pensions Institute, University of London, "This book integrally treats the right models and procedures that confront fund managers and pension planners in all policy decisions. Required reading for my asset liability management students and pension fund clients."-Guus Boender, Professor of Finan, "This is a very welcome addition to the burgeoning asset-allocation literature that focuses squarely on one of the most pressing problems of pension fund sponsors today: asset liability management. Dr. Muralidhar strikes a perfect balance between quantitative rigor and practical insights, a rare achievement that will appeal to industry professionals and academics alike."--Andrew W. Lo, Harris & Harris Group Professor and Director, MIT Laboratory for Financial Engineering, MIT Sloan School of Management, This book shows sponsors, investors, academic researchers, and students of the field how to establish formal processes for efficient asset management in a wide range of financial institutions, including private and government pension systems, endowments,|9780804745215|, "This is a very welcome addition to the burgeoning asset-allocation literature that focuses squarely on one of the most pressing problems of pension fund sponsors today: asset liability management. Dr. Muralidhar strikes a perfect balance between quantitative rigor and practical insights, a rare achievement that will appeal to industry professionals and academics alike."β€”Andrew W. Lo, Harris & Harris Group Professor and Director, MIT Laboratory for Financial Engineering, MIT Sloan School of Management, Not only does Arun Muralidhar know a lot about the implementation of pension fund investment strategy, he also knows the theory. And what he tells us in this new book is right at the frontier of our knowledge."β€”David Blake, Director of the Pensions Institute, University of London, "Not only does Arun Muralidhar know a lot about the implementation of pension fund investment strategy, he also knows the theory. And what he tells us in this new book is right at the frontier of our knowledge."β€”David Blake, Director of the Pensions Institute, University of London, "This book integrally treats the right models and procedures that confront fund managers and pension planners in all policy decisions. Required reading for my asset liability management students and pension fund clients."--Guus Boender, Professor of Financial Economics, Free University of Amsterdam and Partner of the Econometric Consultancy firm Ortec, "This book shows sponsors, investors, academic researchers, and students of the field how to establish formal processes for efficient asset management in a wide range of financial institutions, including private and government pension systems, endowments, life and casualty insurance programs, and central banks."-- Reference and Research Book News, "A must-read for any investor who seeks to establish simple, yet rigorous processes to manage assets."-From the Foreword by Franco Modigliani, "This book shows sponsors, investors, academic researchers, and students of the field how to establish formal processes for efficient asset management in a wide range of financial institutions, including private and government pension systems, endowments, life and casualty insurance programs, and central banks."- Reference and Research Book News, "This book integrally treats the right models and procedures that confront fund managers and pension planners in all policy decisions. Required reading for my asset liability management students and pension fund clients."β€”Guus Boender, Professor of Financial Economics, Free University of Amsterdam and Partner of the Econometric Consultancy firm Ortec, "A must-read for any investor who seeks to establish simple, yet rigorous processes to manage assets."β€”From the Foreword by Franco Modigliani, "This book integrally treats the right models and procedures that confront fund managers and pension planners in all policy decisions. Required reading for my asset liability management students and pension fund clients."-Guus Boender, Professor of Financial Economics, Free University of Amsterdam and Partner of the Econometric Consultancy firm Ortec, "This book shows sponsors, investors, academic researchers, and students of the field how to establish formal processes for efficient asset management in a wide range of financial institutions, including private and government pension systems, endowments, life and casualty insurance programs, and central banks."--Reference and Research Book News, "A must-read for any investor who seeks to establish simple, yet rigorous processes to manage assets."--From the Foreword by Franco Modigliani, "This is a very welcome addition to the burgeoning asset-allocation literature that focuses squarely on one of the most pressing problems of pension fund sponsors today: asset liability management. Dr. Muralidhar strikes a perfect balance between quantitative rigor and practical insights, a rare achievement that will appeal to industry professionals and academics alike."-Andrew W. Lo, Harris & Harris Group Professor and Director, MIT Laboratory for Financial Engineering, MIT Sloan School of Management
Dewey Edition
21
Illustrated
Yes
Dewey Decimal
332.67/254
Synopsis
Whether you are a pension plan sponsor rethinking investment objectives or conducting an asset allocation study, an investor interested in evaluating asset-liability value-at-risk, or an investor who wants the latest techniques to evaluate investment management skills, Innovations in Pension Fund Management gives state-of-the-art guidance on how to implement investment strategy with cutting-edge financial theory and current best practices of plan sponsors and investment managers. All aspects of fund management will be seen in a fresh light, as professionals read about current practical and theoretical twists and turns in asset allocation, risk management, and performance evaluation and implementation. For example, they will understand why asset liability management decision-making must be fully integrated; have a framework for the use of derivatives in their fund and recognize the benefits of leverage; study unique insights on how to measure risk and techniques to manage it; and learn why plan sponsors worldwide are evaluating the M3 measure and the "luck or skill" measure as a result of research cited here. These are only a few reasons why Innovations in Pension Fund Management is a must-read for any plan sponsor, investor, academic researcher, or student of the field who wants concepts explained non-technically, primarily by reliance on case studies. Readers who want coverage of analytic foundations are referred to appropriate technical appendices within the book. The author also looks at advances in human financial resource management, and management control through performance attribution, performance evaluation, and peer comparison. In short, he describes how the management process of planning, implementing, staffing, and control applies to employees within a wide spectrum of financial institutions, including private and government pension systems, endowments, life and casualty insurance programs, and central banks., This book gives state-of-the-art guidance on how to implement investment strategy with cutting-edge practices of plan sponsors and investment managers. All aspects of fund management will be seen in a fresh light, as professionals read about current practical and theoretical twists and turns in asset allocation, risk management, and performance evaluation and implementation.
LC Classification Number
HD7105.4.M87 2001

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