What if you could understand financial risk management without immersing yourself in high-level mathematics? In this straightforward, readable guide--which requires only a working familiarity with financial spreadsheets--Nersesian explains what financial risk management is, describes its various forms, and shows how to anticipate and cope with it.
Informacje dodatkowe o Corporate Financial Risk Management:
Wydawnictwo: angielskie
Data wydania: b.d
Kategoria: Ekonomia
ISBN:
978-1-56720-584-8
Liczba stron: 0
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