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Hedge Fund Modelling and Analysis using MATLAB

      Author: Baturi   |   21 January 2021   |   comments: 0


Hedge Fund Modelling and Analysis using MATLAB
Paul Darbyshire, David Hampton, "Hedge Fund Modelling and Analysis using MATLAB"
English | 2014 | ISBN: 1119967376 | 204 pages | EPUB | 5.2 MB
The second book in Darbyshire and Hampton's Hedge Fund Modelling and Analysis series, Hedge Fund Modelling and Analysis Using MATLAB® takes advantage of the huge library of built-in functions and suite of financial and analytic packages available to MATLAB®. This allows for a more detailed analysis of some of the more computationally intensive and advanced topics, such as hedge fund classification, performance measurement and mean-variance optimisation. Darbyshire and Hampton's first book in the series, Hedge Fund Modelling and Analysis Using Excel & and VBA, is seen as a valuable supplementary text to this book.


Starting with an overview of the hedge fund industry the book then looks at a variety of commercially available hedge fund data sources. After covering key statistical techniques and methods, the book discusses mean-variance optimisation, hedge fund classification and performance with an emphasis on risk-adjusted return metrics. Finally, common hedge fund market risk management techniques, such as traditional Value-at-Risk methods, modified extensions and expected shortfall are covered.
The book's dedicated website,www.darbyshirehampton.comprovides free downloads of all the data and MATLAB® source code, as well as other useful resources.
Hedge Fund Modelling and Analysis Using MATLAB® serves as a definitive introductory guide to hedge fund modelling and analysis and will provide investors, industry practitioners and students alike with a useful range of tools and techniques for analysing and estimating alpha and beta sources of return, performing manager ranking and market risk management.

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