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| Title |
MANAGING FINANCIAL RISK |
| Author |
CHARLES SMITHSON |
| Publication
Date |
31/07/1998 |
| Description |
Providing an account of how derivatives can be used to manage risk and minimize value in volatile financial markets, this text covers derivative products from basic instruments such as forwards and futures, to more complex option products and hybrid secur |
| ISBN |
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| Publisher |
MCGRAW-HILL EDUCATION |
| Book Type |
Hardback |
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| Other
Titles |
PLAYING FOR KEEPS IN STOCKS AND FUTURES - |
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FIXED INCOME MARKETS - |
RETURN TO TAX WORLD
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The provision of free information, and resources, to students of taxation and professionals.
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