Risk Management: Approaches for Fixed Income Markets; Bennett W. Golub; 2000
Helt ny
Risk Management: Approaches for Fixed Income Markets; Bennett W. Golub; 2000
Helt ny

Risk Management: Approaches for Fixed Income MarketsUpplaga 1

av Bennett W. Golub

  • Upplaga: 1a upplagan
  • Utgiven: 2000
  • ISBN: 9780471332114
  • Sidor: 336 st
  • Förlag: John Wiley & Sons
  • Format: Inbunden
  • Språk: Engelska

Om boken

RISK MANAGEMENT APPROACHES FOR FIXED INCOME MARKETS "Golub-Tilman will, I believe, become an absolutely essential reference text for fixed income portfolio managers, traders, issuers, and scholars. It is comprehensive and clearly written. While rigorous, it is easy to understand because of its many practical examples."— Richard Roll, The Allstate Chair in Finance and Insurance, The Anderson School at UCLA, Past President, American Finance Association "Outstanding and unique! A thorough discussion of the theoretical underpinning of risk management combined with keen insights from a practitioner’s perspective. This text will rank among the most essential readings for both market professionals and academics." –Gregory J. Parseghian, Senior Vice President and Chief Investment Officer, Freddie Mac "The most systematic and comprehensive overview of fixed income risk management."–Philippe Jorion, Professor of Finance, University of California—Irvine, Author, Value at Risk: The New Benchmark for Controlling Derivatives Risk "An inside look at approaches to fixed income risk management developed at a leading investment firm. The rigorous presentation covers both theoretical and practical considerations as well as their applications to portfolio management. Very interesting and highly recommended."–Charles W. Grant, Managing Director of Fixed Income, Virginia Retirement System "Few, if any, financial studies have managed to reconcile practical market experience and scientific discipline within such an original approach and with such elegance! An absolute must for anyone in the world of fixed income."–Michele Donegani, Head of Asset Allocation and Manager Selection, European Investment Managers (EIM).

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Mer om Risk Management: Approaches for Fixed Income Markets (2000)

I juli 2000 släpptes boken Risk Management: Approaches for Fixed Income Markets skriven av Bennett W. Golub. Det är den 1a upplagan av kursboken. Den är skriven på engelska och består av 336 sidor. Förlaget bakom boken är John Wiley & Sons som har sitt säte i Hoboken.

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Referera till Risk Management: Approaches for Fixed Income Markets (Upplaga 1)

Harvard

Golub, B. W. (2000). Risk Management: Approaches for Fixed Income Markets. 1:a uppl. John Wiley & Sons.

Oxford

Golub, Bennett W., Risk Management: Approaches for Fixed Income Markets, 1 uppl. (John Wiley & Sons, 2000).

APA

Golub, B. W. (2000). Risk Management: Approaches for Fixed Income Markets (1:a uppl.). John Wiley & Sons.

Vancouver

Golub BW. Risk Management: Approaches for Fixed Income Markets. 1:a uppl. John Wiley & Sons; 2000.