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Performance Evaluation and Attribution Volume One - Russ Wermers, Brian Singer, Bernd R. Fischer

Performance Evaluation and Attribution Volume One

Asset Pricing and Models
Buch | Softcover
450 Seiten
2026 | 2nd edition
Academic Press Inc (Verlag)
978-0-12-818297-0 (ISBN)
CHF 188,55 inkl. MwSt
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Performance Evaluation and Attribution Volume One: Asset Pricing and Models, Second Edition, presents an updated, comprehensive exploration of portfolio evaluation. Based on the authors’ Performance Evaluation and Attribution of Security Portfolios (2012), this Second Edition adds four new chapters and updated content throughout in its practical approach to measuring manager skills and using recent statistical techniques to solve investment problems. Added are new factor models, including the newly developed q-factor model and the new models of Fama and French, new examples, and new work on qualitative considerations. This highly detailed new edition combines academic rigor with practical applications and guidance for applications of diverse approaches.

Russ Wermers is the Paul J. Cinquegrana '63 Endowed Chair in Finance and Director of the Center for Financial Policy (CFP) University of Maryland at College Park. His research, published in leading scholarly journals, has developed new approaches to measuring and attributing the performance of mutual funds, pension funds, and private equity funds, which, among other applications, can be used to identify superior active funds. Professor Wermers consults for the asset management industry. He received his Ph.D. from the University of California, Los Angeles, in December 1995. Brian Singer, CFA, is the co-CEO of Wealth Horizons Inc., a private wealth firm founded by seasoned investment professionals. With over four decades of global macro investment experience, he has served on multiple for-profit and not-for-profit boards and previously chaired the Board of Governors of the CFA Institute, the Research Foundation of the CFA Institute, and the CFA Institute Curriculum Committee. A published author of books, monographs, and articles, Brian has contributed to leading finance journals and is recognized for helping define the practice of macro investing — particularly in the areas of currency management, performance attribution, and risk management. He is a steadfast advocate for free-market solutions to society’s most complex challenges. He has a lovely wife, Linda, and two wonderful adult children, Margo and Andy. Bernd Fischer has occupied various high profile positions including Managing Director of IDS GmbH - Analysis and Reporting Services (a subsidiary of Allianz SE), one of the largest internationally operating providers of operational investment controlling services for institutional investors and asset managers; he was Global Head of Risk Controlling and Compliance in the central business segment Asset Management of Commerzbank AG and was also responsible for the operational Risk and Performance Controlling division of Cominvest GmbH. Between 2000 and 2004, he was a member of the CFA Institute's Investment Council. Since 2020, he has worked as an independent writer, covering political, cultural and economic topics for renowned German journals and blogs.

1. An Introduction to Asset Pricing Models
2. Returns-Based Performance Evaluation Models
3. Returns-Based Performance Measures
4. Portfolio-Holdings Based Performance Evaluation
5. Combining Portfolio-Holdings-Based and Returns-Based Performance Evaluation (and the "Return Gap")
6. Performance Evaluation of Non-Normal Portfolios
7. Fund Manager Selection Using Macroeconomic Information
8. Multiple Fund Performance Evaluation: The False Discovery Rate Approach
9. Active Management in Mostly Efficient Markets: A Survey of the Academic Literature
10. Performance Evaluation of Professional Ratings Services
11. Performance Evaluation of Target-Date Funds
12. Qualitative Considerations in Performance Evaluation
13. Exchange-Traded Funds

Erscheint lt. Verlag 1.2.2026
Verlagsort San Diego
Sprache englisch
Maße 191 x 235 mm
Gewicht 450 g
Themenwelt Sachbuch/Ratgeber Beruf / Finanzen / Recht / Wirtschaft Geld / Bank / Börse
Wirtschaft Betriebswirtschaft / Management Finanzierung
ISBN-10 0-12-818297-0 / 0128182970
ISBN-13 978-0-12-818297-0 / 9780128182970
Zustand Neuware
Informationen gemäß Produktsicherheitsverordnung (GPSR)
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