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Portfolio Management in Economic Crises - Stefan Meyer

Portfolio Management in Economic Crises

An analysis of effective hedging strategies using exchange-traded options and futures for crisis management

(Autor)

Buch | Softcover
XIV, 190 Seiten
2026
Springer Fachmedien Wiesbaden GmbH (Verlag)
978-3-658-50378-9 (ISBN)
CHF 179,70 inkl. MwSt
  • Noch nicht erschienen - erscheint am 27.02.2026
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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 findings show that contrary to the arguments of neoclassical capital market theory derivatives can, in general, provide tangible benefits in modern portfolio management. These benefits may include lower overall risk and/or higher returns at the end of the period. Overall, the results align more closely with the perspective of behavioral finance, which suggests that derivative financial instruments can help limit risks during crises and facilitate their efficient distribution among multiple market participants.

Stefan Meyer is a certified and licensed stock exchange trader, Head Trader, and Supervisor at Deutsche Börse AG and Eurex in Frankfurt. He is currently responsible for derivatives trading on futures exchanges worldwide. He earned his Executive Doctorate in Business Administration (EDBA) under the supervision of Prof. Dr. Marco Heimann at the University of Lyon 3 Jean Moulin.

Introduction.- Theoretical and empirical foundations.- Data collection of crisis scenarios.- Data analysis and results.- Discussion and management recommendations.- Conclusions.

Erscheint lt. Verlag 4.7.2026
Zusatzinfo XIV, 190 p. 79 illus.
Verlagsort Wiesbaden
Sprache englisch
Maße 148 x 210 mm
Themenwelt Wirtschaft Betriebswirtschaft / Management Finanzierung
Schlagworte Derivatives • Derivatives trading strategies • Financial and economic crises • Portfolio Management • risk allocation • Systematic market risk
ISBN-10 3-658-50378-5 / 3658503785
ISBN-13 978-3-658-50378-9 / 9783658503789
Zustand Neuware
Informationen gemäß Produktsicherheitsverordnung (GPSR)
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