Autor: Philippe Jorian, Sarkis Joseph Khoury
Wydawca: Wiley
Dostępność: 3-6 tygodni
Cena: 389,55 zł
Przed złożeniem zamówienia prosimy o kontakt mailowy celem potwierdzenia ceny.
ISBN13: |
9781557865915 |
ISBN10: |
1557865914 |
Autor: |
Philippe Jorian, Sarkis Joseph Khoury |
Oprawa: |
Hardback |
Rok Wydania: |
1995-06-20 |
Ilość stron: |
380 |
Wymiary: |
236x162 |
Tematy: |
KF |
Financial Risk Management provides a rigorous analysis of domestic and international risk management issues. Unlike other texts in the area there is an emphasis on the international dimension of portfolio management allowing the development of an effective, geocentric portfolio strategy.
All chapters represent in–depth reviews of the latest research on the topics under discussion. This ensures that the discussions are comprehensive, thorough and easy to read.
Topics covered include:.
∗ A comprehensive review of investment developments and strategies.
∗ Foreign exchange markets.
∗ Various forms of market anomalies.
Presenting the latest techniques and strategies in domestic and international investment management in a clear way, this is an ideal text for advanced undergraduate and graduate students who use quantitative techniques for investment and portfolio management.
Spis treści:
Preface.
1. Introduction: The Nature of Financial Risk.
2. The Fixed Income Markets: Nature and Dynamics.
3. Interest Risk Management: Hedging Assets and Liabilities.
4. The Foreign Exchange Markets: Nature and Dynamics.
5. Currency Risk Management: Hedging and Speculating with Options and Futures.
6. Portfolio Risk Management: Domestic Dimensions.
7. Portfolio Risk Management: International Dimensions.
8. The Search for Higher Returns: Anomalies.
Index.
Nota biograficzna:
Philippe Jorion is a Professor of the University of California, Irvine and Sarkis Khoury is a Professor at the University of California, Riverside, both USA.
Okładka tylna:
Financial Risk Management provides a rigorous analysis of domestic and international risk management issues. Unlike other texts in the area there is an emphasis on the international dimension of portfolio management allowing the development of an effective, geocentric portfolio strategy.
All chapters represent in–depth reviews of the latest research on the topics under discussion. This ensures that the discussions are comprehensive, thorough and easy to read.
Topics covered include:.
∗ A comprehensive review of investment developments and strategies.
∗ Foreign exchange markets.
∗ Various forms of market anomalies.
Presenting the latest techniques and strategies in domestic and international investment management in a clear way, this is an ideal text for advanced undergraduate and graduate students who use quantitative techniques for investment and portfolio management.
Książek w koszyku: 0 szt.
Wartość zakupów: 0,00 zł
Gambit
Centrum Oprogramowania
i Szkoleń Sp. z o.o.
Al. Pokoju 29b/22-24
31-564 Kraków
Siedziba Księgarni
ul. Kordylewskiego 1
31-542 Kraków
+48 12 410 5991
+48 12 410 5987
+48 12 410 5989
Administratorem danych osobowych jest firma Gambit COiS Sp. z o.o. Na podany adres będzie wysyłany wyłącznie biuletyn informacyjny.
© Copyright 2012: GAMBIT COiS Sp. z o.o. Wszelkie prawa zastrzeżone.
Projekt i wykonanie: Alchemia Studio Reklamy