Reframing Finance: New Models of Long-Term Investment Management
On Sale Now! Free Shipping Included! Save 6% on the Reframing Finance: New Models of Long-Term Investment Management by Stanford Economics and Finance at HYIP Offer. MPN: 9781503601789. Hurry! Limited time offer. Offer valid only while supplies last. Since the 2008 financial crisis, beneficiary organizations―like pension funds, sovereign wealth funds, endowments, and foundations―have been
Since the 2008 financial crisis, beneficiary organizations―like pension funds, sovereign wealth funds, endowments, and foundations―have been seeking ways to mitigate the risk of their investments and make better financial decisions. For them, Reframing Finance offers a path forward.
This book argues that institutional investors would better serve their long-term goals by putting money into large-scale, future-facing projects such as infrastructure, green energy, innovation in agriculture, and real estate development. At the same time, redirecting long-term investments would close significant financial gaps that government cannot. Drawing on key contributions in economic sociology, social network theory, and economics, the book conceptualizes a collaborative model of investment that is already becoming increasingly common: Large investors contribute more directly to private market assets, while financial intermediaries seek to foster co-investment partnerships, better aligning incentives for all. A combination of rich case studies and rigorous theory enables asset owners to move toward more efficient, private-market investing, while also laying groundwork for research at the frontier of finance.
|Manufacturer:||Stanford Economics and Finance|
|Publisher:||Stanford Economics and Finance|
|Studio:||Stanford Economics and Finance|
|Item Size:||0.63 x 9.02 x 9.02 inches|
|Package Weight:||1.06 pounds|
|Package Size:||6.22 x 0.79 x 0.79 inches|
Have questions about this item, or would like to inquire about a custom or bulk order?
If you have any questions about this product by Stanford Economics and Finance, contact us by completing and submitting the form below. If you are looking for a specif part number, please include it with your message.
Related Best Sellers
By Project Management Institute
ean: 9781628251975, isbn: 1628251972,
The Standard for Portfolio Management – Fourth Edition has been updated to best reflect the current state of portfolio management. It describe the principles that drive accepted good portfolio management practices in today’s organizations. It als...
ean: 9780470126882, isbn: 0470126884,
If where an organization allocates its resources determines its strategy, why is it that so few companies actively manage the resource allocation process? "Optimizing Corporate Portfolio Management: Aligning Investment Proposals with Organizational S...
ean: 9780470398531, isbn: 0470398531,
Active 130/30 Extensions is the newest wave of disciplined investment strategies that involves asymmetric decision-making on long/short portfolio decisions, concentrated investment risk-taking in contrast to diversification, systematic portfolio risk...
By Kerry E Back
ean: 9780190241148, isbn: 0190241144,
In the 2nd edition of Asset Pricing and Portfolio Choice Theory, Kerry E. Back offers a concise yet comprehensive introduction to and overview of asset pricing. Intended as a textbook for asset pricing theory courses at the Ph.D. or Masters in Quanti...
mpn: 9781119016397, ean: 9781119016397, isbn: 1119016398,
In-depth Level II exam preparation direct from the CAIA AssociationCAIA Level II is the official study guide for the Chartered Alternative Investment Analyst professional examination, and an authoritative guide to working in the alternative investmen...
ean: 9781119003366, isbn: 1119003369,
The official CAIA Level 1 curriculum bookAlternative Investments: CAIA Level I, 3rd Edition is the curriculum book for the Chartered Alternative Investment Analyst (CAIA) Level I professional examination. Covering the fundamentals of the alternative ...