5859745
9780071546485
Dramatically Improve Risk Management in a Fluctuating Financial Market The Professional Risk Managers' Guide to Financial Marketsshows you step-by-step how risk management takes place in the context of the world's major financial markets, including the money, bond, foreign exchange, stock, futures, commodities, and energy markets. Written and edited by an international team of financial leaders, this vital financial management reference arms you with the information needed to protect investments against the vagaries of each market.The Professional Risk Managers' Guide to Financial Marketsfeatures: In-depth coverage of the money, bond, foreign exchange, stock, futures, commodities, and energy markets Contributions by renowned market authorities from around the world Guidance, strategies, and methods for managing risk across markets Critical information on the new crop of financial instruments that involve multiple marketsAlexander, Carol is the author of 'The Professional Risk Managers' Guide to Financial Instruments', published 2008 under ISBN 9780071546485 and ISBN 0071546480.
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