A comprehensive introduction to state-of-the-art techniques that managers of fixed-income portfolios employ to control the effects of interest rates and related risks. Uses actual portfolio management situations as examples. Applies risk control procedures in a variety of institutional settings. Includes both hedging and option-related strategies, as well as the use of specialized investment vehicles.
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Anbieter: Robinson Street Books, IOBA, Binghamton, NY, USA
Hardcover. Zustand: Very Good. Prompt Shipment, shipped in Boxes, Tracking PROVIDEDlabel removal scar ffep. Artikel-Nr. apr0799
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Anbieter: Alcaná Libros, Madrid, M, Spanien
tapa dura. Zustand: Bien. Interest rates., Investments., Risk., Aufsatzsammlung Controlling interest rate risk : new techniques and applications for money management Wiley  1986. New York. 24 cm. xv, 414 pages : illustrations. Encuadernación en tapa dura de editorial con sobrecubierta. Idioma Inglés. [edited by] Robert B. Platt. Wiley professional banking and finance series. Includes index. Includes bibliographical references and index . ISBN: 0471823546; 9780471823544 (=3045435=) LI300. Artikel-Nr. 3045435
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