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      1. Ekonomi och Ledarskap
      2. Nationalekonomi
      3. Internationell ekonomi

      Exchange-Traded Funds and the New Dynamics of Investing

      AvAnanth N. Madhavan

      Inbunden, Engelska, 2016

      Del i serien Financial Management Association Survey and Synthesis Series

      1 368 kr

      Beställningsvara. Skickas inom 5-8 vardagar. Fri frakt över 249 kr.

      Fler format och utgåvor

      E-bok

      878 kr

      E-bok

      878 kr

      Beskrivning

      In Exchange-Traded Funds and the New Dynamics of Investing, Ananth Madhavan examines the quiet transformation of asset management through the rise of passive or index investing. A closely-related phenomenon is the rise of exchange-traded funds (ETFs). An ETF is an investment vehicle that trades intraday and seeks to replicate the performance of a specific index. ETFs have grown substantially in size, diversity, and market significance in recent years. These trends have generated considerable interest, especially from retail and institutional investors and increasingly from academics, regulators and the press. ETFs have the power to be a disruptive innovation to today's asset management industry because many traditional active managers and hedge funds deliver a significant fraction of their active returns via static exposures to factors like value. Indeed, for the first time ever, assets in global ETFs exceeded $3 trillion in 2015, passing the amount in hedge funds.

      Produktinformation

      • Utgivningsdatum:2016-08-18
      • Mått:155 x 239 x 27 mm
      • Vikt:544 g
      • Format:Inbunden
      • Språk:Engelska
      • Serie:Financial Management Association Survey and Synthesis Series
      • Antal sidor:288
      • Förlag:OUP USA
      • ISBN:9780190279394

      Utforska kategorier

      • Internationell ekonomi inom Ekonomi och Ledarskap
      • Finansiering inom Ekonomi och Ledarskap

      Mer om författaren

      Ananth Madhavan is Managing Director and Global Head of Research for iShares, the world's largest provider of exchange-traded funds. Previous positions include the Global Head of Trading Research and Transitions at Barclays Global Investors, and Head of Research at ITG Inc., an electronic brokerage firm. Dr. Madhavan has also had an extensive career as a professor at the University of Southern California and the Wharton School of the University of Pennsylvania.

      Recensioner i media

      "Exchange-Traded Funds and the New Dynamics of Investing is an essential reference and a thought-provoking commentary for professional investors in all asset classes. Readers will be able to incorporate what they learn from reading the book into immediate practice, either through modeling and backtesting or through actual active investing using passive instruments." -- Financial Analysts Journal"Ananth Madhavan delivers a clear, accessible, and authoritative exposition of modern investment theory and the role of exchange-traded funds. His treatment integrates the perspectives of investors, investment managers, ETF producers, ETF arbitrageurs and regulators in a unified framework. The analysis draws on well-founded principles of financial economics, but also the real world experience and insights of a seasoned practitioner. Investment professionals,academics, and regulators will find here a thorough reference and guide to the active use of passive strategies and the exchange-traded fund universe." -- Joel Hasbrouck, Kenneth G. Langone Professor of Business Administration and Professor of Finance, Stern School of Business, New York University"ETFs are the fastest growing segment of the mutual fund industry. Madhavan's comprehensive and accessible book delivers a structured framework for understanding the ETF market, with a perfect balance of academic rigor and practical value. This book is an essential guide to one of the most important investment vehicles in today's markets, and will be a valuable resource to academics, individual investors, and the most sophisticated institutional investors." -- Donald B. Keim, John B. Neff Professor of Finance, and Director, Rodney L. White Center for Financial Research, The Wharton School, University of Pennsylvania

      Innehållsförteckning

      • 1. The Current Landscape2. Structure and Mechanics 3. Price Dynamics and Arbitrage 4. Valuation5. Performance and Benchmark Tracking 6. Liquidity and Transaction Costs 7. Uses of ETFs 8. Fixed Income 9. Commodities 10. Foreign Currency 11. Investing in Volatility 12. Alternatives and Multi-Asset Strategies 13. Active Strategies 14. Smart Beta and Factor Investing 15. Flows 16. Leveraged and Inverse Products 17. Systemic Risk 18. Public Policy Issues 19. Future Opportunities
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