INDEX
1987 equity market crash
1990s oil crisis
1991 junk bond debacle
1993 Metallgesellschaft Refining and Marketing disaster
1994 Orange County bankruptcy
1998 Asian market crisis
1998 Long-Term Capital Management default
1998 Russian government debt default
2007- current financial crisis
Active management
Active risk
Actuarial models, of credit risk
Allied Irish Bank losses (2002)
Alternative investments. See also Funds of funds; Hedge funds
due diligence on
holistic approach to
pension fund investment in
questions and answers on
risk and return management for
risk management framework for
types of risk impacting
Amaranth losses (2006)
Asian market crisis (1998)
Asset allocation:
global investment
pension fund
portfolio analysis of
portfolio structure and
rebalancing portfolios
risk allocation vs.
Asset managers:
active management by
agency friction between clients and
bank vs. fund risk management approaches for
behavior of impacting risk (see Behavioral risk; Manager risk; Preferences)
due diligence by
fiduciary duties of (see Fiduciary duties)
investment guidelines and mandates for
overconfidence of
performance review of
portfolio/trading analyses by
risk budgets for (see Risk budgeting)
risk judgment of
risk measurement tools used by (see Risk measurement)
risks facing
Asset pricing:
capital asset pricing model
country risk and
derivative pricing models
diversification and
Backfill bias
Backtesting
Banking industry:
collateralized debt obligations in
fund vs. bank risk ...
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