Pastāsti draugiem par šo preci:
Global Portfolio Diversification: Risk Management, Market Microstructure, and Implementation Issues - Economic Theory, Econometrics, and Mathematical Economics Raj Aggarwal
Global Portfolio Diversification: Risk Management, Market Microstructure, and Implementation Issues - Economic Theory, Econometrics, and Mathematical Economics
Raj Aggarwal
Synthesizes debates between analysts and academics. This work covers subjects such as risk management, diversification and hedging strategies, deviations from market efficiency, and exchange rates. It includes features that: deal with increased interest in the globalization of financial markets; cover managing and hedging risks; and more.
302 pages, index
| Mediji | Grāmatas Hardcover Book (Grāmata ar cieto muguriņu un vāku) |
| Izlaists | 1994. gada 5. decembris |
| ISBN13 | 9780120445004 |
| Izdevēji | Emerald Publishing Limited |
| Lapas | 302 |
| Izmēri | 162 × 236 × 26 mm · 616 g |
| Valoda | Angļu |
| Redaktors | Aggarwal, Raj |
| Redaktors | Schirm, David C. |