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ADVANCED STRATEGIES IN FINANCIAL RISK MANAGEMENT
This book demonstrates how to join the ranks of successful companies which routinely use risk protection products to manage more effectively their asset liability and to tap worldwide commercial markets. Areas discussed include: interest rates, exchange rates, innovative applications (hybrid instruments, derivatives, macro economic hedging), systems and credit, tax, legal and regulatory issues and accounting.
10001100 | 332.645 SCH a | RLC MM (Rak Buku Umum) | Available |
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