"Managing Financial Risk" is the most authoritative and comprehensive primer ever published for financial professionals who must understand and successfully use derivatives. The previous edition of this professional financial classic sold over 18,000 copies and emerged as a leading training tool in the derivatives industry. The book covers derivative products from the most basic to the most complex and explains how derivatives are used by each major player in the market: dealers, financial firms, and corporations. In addition, the book includes short contributions from a variety of experts from leading companies such as Citibank, J.P. Morgan, British Petroleum, and Ciba-Geigy. Completely updated to include new material on new products such as commodity swaps and credit swaps, this edition will cover every aspect of the derivatives marketplace with insight and authority.
Informacje dodatkowe o Managing Financial Risk:
Wydawnictwo: angielskie
Data wydania: b.d
Kategoria: Ekonomia
ISBN:
978-0-07-059354-1
Liczba stron: 0
Sprawdzam ceny dla ciebie ...
Chcę przeczytać,