Wiley.com
Print this page Share

Hedge Fund Risk Fundamentals: Solving the Risk Management and Transparency Challenge

ISBN: 978-1-57660-257-7
Paperback
312 pages
July 2007
List Price: US $50.00
Government Price: US $32.00
Enter Quantity:   Buy
Hedge Fund Risk Fundamentals: Solving the Risk Management and Transparency Challenge (1576602575) cover image

"Hedge Fund Risk Fundamentals contains an abundance of helpful information for investors who want to understand the intricacies and risk dynamics of hedge funds. The book is written with commendable clarity and provides a valuable glimpse into the workings of a rapidly growing investment vehicle." (Financial Analysts Journal)

"A wonderfully written book on a topic that has vexed investors and professionals alike--balancing the need to know against the desire to provide information. In a thorough and comprehensive manner, Richard Horwitz takes the reader on an explanatory journey through the risks associated with hedge fund investing. His insight and experience give him the perspective needed to articulate the challenges faced by this industry, as well as offering a sound solution that I believe couldn't come soon enough."
—Andrew A Kandiew
Managing Director, Risk Management
Commonfund

"Richard Horwitz has produced a work of exceptional practical value. This book deals head-on with the challenges of hedge fund investing by providing intelligent, well-informed, and uniquely accessible advice. Most usefully, he provides a benchmark for hedge fund investors to evaluate their own investment processes."
Andrew B. Weisman
Director of Risk Management and Research, Strativarius Capital Management, LP

"Required reading for anyone who wishes to understand the fine points of hedge fund risk measurement."
Steve McMenamin
Chairman, Greenwich Roundtable

"Not overly technical, this book is not only a must-read for neophytes and the newly indoctrinated to risk on derivatives but also a great refocuser for risk professionals!"
Robert M. Aaron
Chairman and CEO, Derivatives Portfolio Management, LLC
Member of the Board, Managed Funds Association

"A comprehensive, eye-opening account on risk management which should be read by investors and managers alike."
Lois Peltz
President and CEO, Infovest21

"This book offers an excellent review of the complex topic of hedge fund risk management. Furthermore, it provides an innovative and pragmatic solution to the key transparency issue."
Pierre Jette, MBA, CFA
Associate Vice President, Equity Markets, CDP Capital

"Richard Horwitz provides a invigoratingly fresh and engaging perspective on hedge funds, risk management and investing principles. Practitioners all too often forget the basic principles of quantitative risk management, and thus obscure rather than illuminate the trade off between risk and reward. This book eloquently bridges the divide between the 'theory' and the 'practice' of investing in hedge funds."
Adil Abdulali
Director of Risk Management, Protégé Partners

Back to Top