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Financial Risk Management and Derivative Instruments

Financial Risk Management and Derivative Instruments is an accessible, concise textbook offering a solid introduction to the essential principles of risk management and derivatives. Structured in two parts, the book first looks at markets and uncertainty, examining risk in the stock market and the bond market, leveraging and growth.

Mai 2021, ca. 274 Seiten, Routledge Advanced Texts in Economics and Finance, Englisch
Taylor and Francis
978-0-367-67479-3

Weitere Titel der Reihe: Routledge Advanced Texts in Economics and Finance

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