by BRUCE J. FEIBEL contents Preface ix Acknowledgments xiii CHAPTER 1 Investment Performance Measurement 1 PART ONE Return Measurement 13 CHAPTER 2 Single Period Return 15 CHAPTER 3 Money-Weighted Return 37 CHAPTER 4 Time-Weighted Return 45 CHAPTER 5 Multiperiod Return 55 CHAPTER 6 Adjusting Returns for Impact of Fees, Taxes, and Currency 69 CHAPTER 7 Measuring Relative Return 97 PART TWO Risk Measurement 121 CHAPTER 8 Risk 123 CHAPTER 9 Absolute Risk 131 CHAPTER 10 Downside Risk 155 CHAPTER 11 Relative Risk 165 PART THREE Measuring Risk-Adjusted Performance 181 CHAPTER 12 Absolute Risk-Adjusted Return 183 CHAPTER 13 Downside and Relative Risk-Adjusted Return 199 CHAPTER 14 Assessing Skill 203 PART FOUR Performance Attribution CHAPTER 15 Security and Segment Returns 215 CHAPTER 16 Effective Exposure Basis Returns 243 CHAPTER 17 Contribution Analysis 255 CHAPTER 18 Attributing Value Added to Management Decisions 265 CHAPTER 19 Strategy-Specific Return Decomposition 285 PART FIVE Performance Presentation 305 CHAPTER 20 AIMR- and GIPS-Compliant Performance Presentations 307 APPENDIX The AIMR Performance Presentation Standards 331 INDEX 341 |