Zustand: Good. Good condition ex-library book with usual library markings and stickers.
Zustand: Good. Pages intact with minimal writing/highlighting. The binding may be loose and creased. Dust jackets/supplements are not included. Stock photo provided. Product includes identifying sticker. Better World Books: Buy Books. Do Good.
Zustand: New. This is a Brand-new US Edition. This Item may be shipped from US or any other country as we have multiple locations worldwide.
Verlag: Chicago, Irwin, 1996., 1996
ISBN 10: 1557387788 ISBN 13: 9781557387783
Anbieter: Antiquariat Hohmann, Schemmerhofen, Deutschland
Erstausgabe
XXXVII, 406 S., mehr. Fig., gr.okt., Pp., OU. -- "Focuses solely on the risk of the derivative instruments themselves and provides working solutions for the management of the derivatives portfolio. Based on a globalresearch project of the instruments, their uses, benefits and dangers, it offers a fully developed program. Perfect for any portfolio manager or corporate treasurer, this guide offers comprehensive solutions to a very timely issue, including: Developing a risk management plan specific to derivatives; Derivatives portfolio assessment, control and management; Market and credit exposure; Technological developments and other tools used in controlling risk; The changing derivative instruments scenario." (LOC).- [ Wirtschaftswissenschaft Betriebswirtschaft Börse SpracheEN J| 1996 N| Dimitris N. Chorafas | 65012 ].