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| book details |
Financial Risk Management: Fixed Income and Foreign Exchange
By (author) Tim S. Campbell, By (author) William A. Kracaw
| book description |
Given the recent failings of a variety of financial institutions and business programmes are changing their finance curriculums to meet the industry's urgent need for graduates with a more sophisticated understanding of risk management. This text is designed as a core text for courses dealing with risk management and as a supplement for advanced undergraduate and MBA courses on insurance, financial institutions, corporate finance, options and futures, investments, portfolio management and banking and bank management.
| product details |
Normally shipped |
Publisher | Pearson Education Limited
Published date | 1 Nov 1992
Language |
Format | Paperback
Pages | 400
Dimensions | 230 x 0 x 0mm (L x W x H)
Weight | 560g
ISBN | 978-0-0650-1156-2
Readership Age |
BISAC | business & economics / foreign exchange
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