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The professional risk manager’s guide to financial markets
The Professional Risk Managers’ Guide to Financial Markets provides a robust discussion of how financial risk management takes place in the context of the world’s major financial markets: the money market, bonds, futures, commodities, stock, and foreign exchange. The reference begins with rigorous introduction to the world of financial markets, discussing the importance of liquidity, comparing exchanges to alternative markets, the role of technology, effects of post-trade processing, and new financial markets. Each chapter then goes on to deliver in-depth coverage of specific markets from a leading expert in the field. This comprehensive approach to each major market along with descriptions of their role in the international arena and risk strategies for each is a must-have for institutional investors and traders, as well as risk managers serious about protecting their investments.
History
Publication status
- Published
Publisher
McGraw-HillPublisher URL
Pages
400.0Place of publication
New YorkISBN
9780071546485Series
PRMIA Risk Management SeriesDepartment affiliated with
- Business and Management Publications
Notes
his is an edited book edited by Carol Alexander, Elizabeth SheedyFull text available
- No
Peer reviewed?
- Yes
Editors
Carol Alexander, Elizabeth SheedyLegacy Posted Date
2012-09-27Usage metrics
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