Risk Management with Futures & Options
The last quarter century has seen the world's financial markets become notoriously volatile. Instability in interest rates, exchange rates, bond prices and stock markets has made the issue of risk management more acute than ever. And this is especially true for institutional investors and corporate treasurers.
- Hardback | 200 pages
- 165 x 240 x 37mm | 939g
- 16 Dec 1998
- Pearson Education (US)
- Prentice Hall
- Upper Saddle River, United States
- w. figs.