This book provides an overview of the evolution of investment and risk,
together with a synthesis of research on these developments. It explores
how exposures can be modified by measuring and managing them and
introduces readers to the latest strategies and trends in investment.
Broad in scope, the book covers the most important aspects of investment
risk management, including the time value of money, financial markets,
equity markets, bond markets, and portfolio theory. Accordingly, it
offers a valuable asset for advanced undergraduate and graduate finance
students, investors and academics alike.