Recent Advances and Applications in Alternative Investments

Recent Advances and Applications in Alternative Investments

Constantin Zopounidis, Dimitris Kenourgios, George Dotsis
Indexed In: SCOPUS
Release Date: February, 2020|Copyright: © 2020 |Pages: 385
DOI: 10.4018/978-1-7998-2436-7
ISBN13: 9781799824367|ISBN10: 1799824365|ISBN13 Softcover: 9781799824374|EISBN13: 9781799824381
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Description & Coverage
Description:

In recent years, there has been a swell of investment opportunities in contemporary asset classes that have gained considerable attention, including cryptocurrencies, hedge funds, and private equity. These alternative investments provide the opportunity to enhance the diversification of financial portfolios and harvest risk premiums that traditional assets like stocks and bonds fail to provide. The emergence of these new properties has created the need to further understand the mechanics, risks, and returns of alternative investments.

Recent Advances and Applications in Alternative Investments is a pivotal reference source that provides vital research on the emergence and development of complementary asset classes in the field of finance and investment. While highlighting topics such as carbon emission markets, renewable energy, and digital currencies, this publication explores modern investment strategies as well as the latest products and new types of risk. This book is ideally designed for managers, strategists, accountants, financial professionals, economists, brokers, investors, business practitioners, policymakers, researchers, and academicians seeking current research on contemporary developments in investment strategies and alternative assets.

Coverage:

The many academic areas covered in this publication include, but are not limited to:

  • Blockchain
  • Carbon Emission Markets
  • Cyber Risks
  • Digital Currencies
  • Ethical Investments
  • Financial Integration
  • Green Bonds
  • Private Equity
  • Real Estate
  • Renewable Energy
  • Venture Capital
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Editor/Author Biographies

Dimitris Kenourgios is currently Associate Professor of Finance at the National and Kapodistrian University of Athens (NKUA), Department of Economics. He received a BSc in Economics from the NKUA, an MSc in Money, Banking and Finance from the University of Birmingham (UK), and a PhD in Finance from the NKUA. He has taught at the Athens University of Economics and Business, the University of Piraeus, the University of Thessaly, the Hellenic Open University and the Open University of Cyprus. Ηe has published more than 50 academic research papers in peer-reviewed scientific journals. His research interests are in the areas of financial contagion, financial integration, emerging capital markets, quantitative easing, European banking union, financial modelling and risk management. He has an extensive experience in consulting, executive training and e-learning services in the areas of financial analysis, investments, and capital markets.

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