Portfolio Insurance and VaRoP. A Comparison

Download or Read eBook Portfolio Insurance and VaRoP. A Comparison PDF written by Ralf Hohmann and published by GRIN Verlag. This book was released on 2021-05-18 with total page 23 pages. Available in PDF, EPUB and Kindle.
Portfolio Insurance and VaRoP. A Comparison
Author :
Publisher : GRIN Verlag
Total Pages : 23
Release :
ISBN-10 : 9783346408686
ISBN-13 : 334640868X
Rating : 4/5 (86 Downloads)

Book Synopsis Portfolio Insurance and VaRoP. A Comparison by : Ralf Hohmann

Book excerpt: Scientific Essay from the year 2021 in the subject Business economics - Investment and Finance, , language: English, abstract: Investments in money and capital markets involve different loss potentials that market participants should be able to manage. Below follows an overview and comparison of selected strategies to manage these risks. Portfolio insurance (PI) strategies were developed in the 1980s. They are used to hedge portfolios or individual investments against price losses. The volume of assets hedged with these strategies is significant. Different forms of individual strategies have developed over the years. Risk quantification and Value at Risk (VAR) strategies emerged around the same time. Risks of individual investments or portfolios were measured and different strategies were developed to take them into account in Value at Risk optimised portfolios (VaRoP). VaRoP is a strategy that calculates an optimal portfolio taking into account a given or permissible maximum VAR. Both strategies are intended to protect portfolios from losses in value. Their similarities and differences as well as their successes are presented and summarised in this paper. Their applicability in practice is also examined.


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