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Option-Based Porfolio Insurance. Analysis of Protective Put and Synthetic Put Investment Strategies

Език Английски езикАнглийски език
Книга С меки корици
Книга Option-Based Porfolio Insurance. Analysis of Protective Put and Synthetic Put Investment Strategies Felix Lütjen
Код Либристо: 17107737
Издателство Grin Publishing, ноември 2016
Bachelor Thesis from the year 2016 in the subject Business economics - General, grade: 1.7, Universi... Цялото описание
? points 109 b
84.82 лв
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Bachelor Thesis from the year 2016 in the subject Business economics - General, grade: 1.7, University of Frankfurt (Main), language: English, abstract: Risk aversion is a common trait among investors. While it is possible to reduce risk attributed to specific industries and regions by diversifying among different securities, market risk affects all securities on the market. Even a perfectly diversified portfolio is subject to systematic or market risk. It can be managed through diversification across asset classes, for example by shifting some of the funds invested into risk-free assets. For some investors, this yields unsatisfactory results as the expected return directly decreases linearly with an increase in the position in the risk-free asset. Portfolio insurance (PI) describes an alternative set of strategies that allows investors to reduce their exposure to market risk by guaranteeing the value of the portfolio to be above a certain value at the end of the investment period while allowing for participation in rising stock markets. Option-based portfolio insurance (OBPI) refers to a set of strategies in which either a conventional put option (protective put) or a replicated put option (synthetic put) is used to insure a portfolio against adverse price movements. In theory and assuming perfect market conditions, protective put (PP) and synthetic put (SP) yield identical payoffs and have the same cost. In practice, there are several important differences between the two strategies. On the one hand, PP seems to be an easy and uncomplicated strategy to implement, but the unavailability of listed options with desired maturities and strike prices are major issues. SP strategies, on the other hand, can suffer from obstacles like high transaction costs and jumps in stock prices.

Информация за книгата

Пълно заглавие Option-Based Porfolio Insurance. Analysis of Protective Put and Synthetic Put Investment Strategies
Автор Felix Lütjen
Език Английски език
Корици Книга - С меки корици
Дата на издаване 2017
Брой страници 36
Баркод 9783668490178
ISBN 3668490171
Код Либристо 17107737
Издателство Grin Publishing
Тегло 66
Размери 148 x 210 x 2
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