Portfolio management in economic crises : an analysis of effective hedging strategies using exchange-traded options and futures for crisis management /
In this book, Stefan Meyer empirically examines standardized futures trading strategies for their suitability in reducing systematic portfolio risk.To this end, he analyzes price, interest rate, and volatility data during the twelve largest financial and economic crises between 1987 and 2022.The fin...
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| Format: | eBook |
| Language: | English |
| Language Notes: | Translated from German. |
| Published: |
Wiesbaden :
Springer,
[2026]
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| Series: | Economics and Finance Series.
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| Subjects: |
Purchase on Demand
| Call Number: |
HG4529.5 .M49 2026 |
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| Notes: |
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| Call Number | Status | Get It |
| HG4529.5 .M49 2026 | Available | |