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From the Inside Flap
Hedge Fund Investing, Second Edition is a complete guide to alternative investments for students and professionals alike. This updated and expanded edition is a fully comprehensive guide to hedge fund investing in today's market, designed to provide professionals with the deep understanding they need to operate effectively. Broad coverage under the alternative investment umbrella includes discussion about hedge funds, derivatives, investment banking, and commercial banking, with specific guidance toward trading, strategy, portfolio management, performance metrics, due diligence, and more.
Alternative investment expertise has become central to the asset management and institutional investment community, and this peerless resource ensures a clear understanding of the intricacies of the field and skill-building guidance through the practical techniques used to navigate this diverse set of asset classes successfully.
This edition makes it easy to bring material into the classroom and includes rigorous reinforcement practice aimed at making you an expert on:
Whether you're studying for the CFA or CAIA exams or furthering your professional expertise, the learning objectives, clarifying illustrations, and thought-provoking discussion questions and exercises in each chapter enable you to master the how and why of the most prominent hedge fund investing strategies—including global macro and long/short equity, fixed income relative value, credit arbitrage, and convertible arbitrage.
Hedge Fund Investing, Second Edition gives you the deep and instinctual understanding you need to operate effectively within the alternative investment sphere.
From the Back Cover
Praise for Hedge Fund Investing, Second Edition
“The two main sections [of Hedge Fund Investing], one describing different fund styles and the other discussing how to evaluate a fund before investing, should be essential reading for anyone who wants to invest in, work at or sell hedge funds.”
—Mark Henricks, Institutional Investor, 06/05/2016
"I had the privilege to work with Kevin when he was the Chief Operating Officer at Larch Lane Advisors, a leading hedge fund seeding firm and investor in new funds. Kevin has a great ability to explain the inner workings of hedge funds from both an operational and investment perspective."
—Peter Brady, Director of Sales and Client Service, Lyxor Asset Management, Inc.
"With a timely update to what is becoming a standard in the field, Professor Mirabile again manages to condense his unequaled practical and academic knowledge into a concise, well-organized hornbook accessible to students and investment practitioners alike. Mirabile's work??is the place to start for those looking to understand, work, or invest in private funds."
—John P. Drohan, President, ACI Financial Markets Association
"As a hedge fund manager I look for all of my employees to have the knowledge of the industry that Hedge Fund Investing provides. It is an ideal starting point for anyone who expects to work at or invest with a hedge fund. Kevin Mirabile's knowledge of hedge funds is unusually valuable because he has worked in all aspects of the business—financing, trading, portfolio management, and manager selection. He has seen hedge funds evolve from a cottage industry to a mainstream component of the asset management complex. Kevin is an ideal person to learn the business from."
—Kevin Coldiron, Co-Founder, Algert Coldiron Investors, LLC
"Mirabile's book strikes that rare balance between being informative for practitioners, instructive for educators, and accessible for individual investors. The new version offers worthwhile updates, and readers will find this to be a book they go back to again in the future as a handy refresher.??Worth a spot in any investor's library."
—Jonathan Brolin, Founder and Managing Partner, Edenbrook Capital and Adjunct Professor, Gabelli School of Business, Fordham University
About the Author
KEVIN R. MIRABILE is a clinical assistant professor of finance and business economics at Fordham University's Gabelli School of Business, where he teaches courses on finance, alternative investing, and hedge funds. During his more than thirty years in financial services, he has held senior executive positions at Larch Lane Advisors, Morgan Stanley, Daiwa Securities, and Barclays Capital. He is a Certified Public Accountant, a member of the Hedge Fund Association's Education Committee, and a member of the Greenwich Roundtable's Founders Council. He also holds a bachelor's degree from S.U.N.Y. Albany, a master's degree in international banking and finance from Boston University, and a doctorate in finance and economics from Pace University.
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