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| Title |
RISK MANAGEMENT IN VOLATILE FINANCIAL MARKETS |
| Author |
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| Publication
Date |
30/06/1996 |
| Description |
Following assessments of the extent of market volatility and risk in financial markets, this volume presents examples of how private institutions are developing new risk-management techniques and case studies from specific markets, including securities ma |
| ISBN |
792340531 |
| Publisher |
KLUWER ACADEMIC PUBLISHERS GROUP |
| Book Type |
Hardback |
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| Other
Titles |
MARKET MODELS - |
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FINANCIAL OPTIMIZATION - |
RETURN TO TAX WORLD
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| The TaxWorld Mission |
The provision of free information, and resources, to students of taxation and professionals.
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