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What risk managers can learn from Alibaba

18 Septembre 2014 , Rédigé par Ylan CATTAN Publié dans #Gerant Privé, #banque privée, #Profits and Benefits, #gestion de portefeuille, #Gestion d'actifs, #Allocation d'actifs, #Audit portefeuille, #Private Banking, #FactSet

After the initial filing of Alibaba, we posted here about what things to consider when adding a recently IPO’ed security to a risk model. With that in the back of my mind, I looked to see what kind of information is available about a company pre-IPO and...

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