Financial Risk Management: Fixed Income and Foreign Exchange - Softcover

Campbell, Tim S.; Kracaw, William A.

 
9780065011562: Financial Risk Management: Fixed Income and Foreign Exchange

Inhaltsangabe

Given the recent failings of a variety of financial institutions and business programmes are changing their finance curriculums to meet the industry's urgent need for graduates with a more sophisticated understanding of risk management. This text is designed as a core text for courses dealing with risk management and as a supplement for advanced undergraduate and MBA courses on insurance, financial institutions, corporate finance, options and futures, investments, portfolio management and banking and bank management.

Die Inhaltsangabe kann sich auf eine andere Ausgabe dieses Titels beziehen.

Reseña del editor

Given the recent failings of a variety of financial institutions and business programmes are changing their finance curriculums to meet the industry's urgent need for graduates with a more sophisticated understanding of risk management. This text is designed as a core text for courses dealing with risk management and as a supplement for advanced undergraduate and MBA courses on insurance, financial institutions, corporate finance, options and futures, investments, portfolio management and banking and bank management.

„Über diesen Titel“ kann sich auf eine andere Ausgabe dieses Titels beziehen.