Features expertise from an international team of 35 contributors, including Moorad Choudhry, Panikos Teklos, and Tamar Frankel Provides much-needed, timely information for institutional investors and professional portfolio, asset, and hedge fund managers as the fallout from the credit bubble continues to plague the institutional finance sector Includes important discussion of new risk management techniques and standards, including Basel II
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Bahasa Inggeris ● Format EPUB ● Halaman-halaman 528 ● ISBN 9780071642965 ● Penerbit McGraw-Hill Education ● Diterbitkan 2008 ● Muat turun 6 kali ● Mata wang EUR ● ID 2254440 ● Salin perlindungan Adobe DRM
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