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The objective of this book is to analyse institutional investors engagement in alternative assets. An area where previous research has been scarce regarding the factors motivating investments in alternative assets. The aim is to address this gap by enhancing the understanding of asset allocation strategies in alternative assets and specifically the investment motives, decision factors, performance and various outlooks supporting their allocation. To achieve the objective, we composed a survey directed towards wealth management firms in Europe and to pension funds and insurance companies in Sweden.…mehr

Produktbeschreibung
The objective of this book is to analyse institutional investors engagement in alternative assets. An area where previous research has been scarce regarding the factors motivating investments in alternative assets. The aim is to address this gap by enhancing the understanding of asset allocation strategies in alternative assets and specifically the investment motives, decision factors, performance and various outlooks supporting their allocation. To achieve the objective, we composed a survey directed towards wealth management firms in Europe and to pension funds and insurance companies in Sweden.
Autorenporträt
MSc. in Applied Economics and Finance: Copenhagen Business School. BSc. in Economics and Financial Management:Lund University in Sweden. Currently working within Investment Banking and Debt Capital Markets.