Faculty Advisor or Committee Member
Marcel Y. Blais, Advisor
With the ripples in the financial markets and economic stresses that occur around the world today, it would be beneficial to have some insight into the tools that help investors learn about the riskiness of their portfolios. At what value is one's portfolio in danger of being completely wiped out? We aim to further the understanding of values such as these and give an assessment of some risk measures by investing in an interactive portfolio, as well as estimating the values at risk and expected shortfalls of this portfolio.
Worcester Polytechnic Institute
All authors have granted to WPI a nonexclusive royalty-free license to distribute copies of the work. Copyright is held by the author or authors, with all rights reserved, unless otherwise noted. If you have any questions, please contact firstname.lastname@example.org.
Infantino, Shanna, "Investment Analysis: Evaluating the Loss and Risk of a Stocks and Options Portfolio" (2012). Masters Theses (All Theses, All Years). 651.
Loss Distribution, Expected Shortfall, Value at Risk