Publisher's Synopsis
The study of financial digital assets and alternative investments is crucial as these emerging asset classes reshape the global financial landscape. As technological innovations such as blockchain and decentralized finance (DeFi) continue to expand, understanding the risks, valuation, and portfolio implications of digital assets becomes essential for investors and institutions. Analyzing assets like non-fungible tokens (NFTs), stablecoins, and central bank digital currencies (CBDCs) provides insights into their economic and behavioral impacts, aiding in informed decision-making. This research supports the development of robust financial strategies, fostering innovation while addressing the complexities and risks of integrating digital assets into traditional investment frameworks. Financial Digital Assets and the Financial Risk Modeling of Portfolio Investments is an in-depth investigation of the dynamics and risks of financial digital assets, with a focus on their behavior in an investment portfolio. It is significant in the context of technological innovations in finance, as financial digital assets become increasingly prevalent and critical in the global economy. Covering topics such as financial inclusion, financial risk modeling, and non-fungible tokens (NFTs), this book is an excellent resource for financial analysts, portfolio managers, investment professionals, researchers, academicians, policy makers, and more.