Global Portfolio Diversification: Risk Management, Market Microstructure, and Implementation Issues - Economic Theory, Econometrics, and Mathematical Economics - Raj Aggarwal - Grāmatas - Emerald Publishing Limited - 9780120445004 - 1994. gada 5. decembris
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Global Portfolio Diversification: Risk Management, Market Microstructure, and Implementation Issues - Economic Theory, Econometrics, and Mathematical Economics

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Paredzamā piegāde . gada 25. sept. - . gada 5. okt.
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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.

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