De Gruyter Studies in Finance – serie
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2 produkter
1 271 kr
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In an era where traditional investment paradigms are being constantly redefined by technological innovation and the global push towards sustainability, Themes in Alternative Investments emerges as a seminal volume designed to guide investors, finance professionals, and scholars through the complex terrain of non-traditional financial vehicles. This volume presents a thorough exploration of the interconnections between cutting-edge technology, dynamic market forces, and the intricate regulatory landscapes shaping the future of finance. With a spotlight on burgeoning investment mediums such as cryptocurrencies, non-fungible tokens (NFTs), private equity, and fine wine, it provides a critical analysis of the burgeoning domain of sustainable finance solutions amidst the digital revolution. The contributors to this volume undertake a meticulous examination of alternative investments, presenting a nuanced narrative that spans from the infamous Tuna Bonds scandal to the high-profile downfalls of Silicon Valley Bank and the FTX exchange. This narrative delves into the profound implications of technological advancements on market infrastructures, scrutinising the shifting contours of financial fraud and the paramount importance of robust regulatory frameworks in upholding market integrity. Themes in Alternative Investments not only dissects the allure and pitfalls of these emergent investment avenues but also casts a critical eye on the role of artificial intelligence in reshaping investment strategies and market operations. The discussion transcends the mere identification of opportunities and challenges, offering a deep dive into the mechanisms by which technology and AI are becoming pivotal in the detection and prevention of market manipulation and fraud. As the landscape of alternative investments expands, driven by investor appetite for innovation and higher yields, this volume serves as an indispensable resource. It equips stakeholders with the analytical tools and insights needed to discern the complexities of these investment strategies, navigate their risks, and harness the potential of financial markets evolving under the influence of digital transformation and sustainability imperatives.
1 252 kr
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The COVID-19 pandemic revealed several critical vulnerabilities in global financial systems, emphasising the need for a thorough investigation into both immediate and long-term effects on financial markets. This publication examines these impacts across a spectrum of financial areas, from traditional markets to emerging sectors, exploring how the pandemic accelerated transformations like fintech adoption, digital finance, and green finance, while exposing new risk dynamics. It assesses shifts in market stability, risk appetite, and investment behaviours, offering a detailed analysis of sectoral disruptions in industries such as tourism, sports, banking, and retail. A thorough assessment of asset performance, including safe-haven assets, highlights the limitations of traditional diversification strategies during crises. The publication concludes with insights into the resilience of financial frameworks and proposes a series of critical adjustments to avert future market crises.This book is an essential guide for researchers, finance professionals, and policymakers looking to better understand and manage systemic risks in the evolving post-pandemic financial world.