The professional risk managers guide to financial instruments

The professional risk managers guide to financial instruments

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Manage financial and investment risk on a global scale with the very best in the field. Announcing the Partnership of McGraw-Hill and The Professional RiskManager's International Association, made up of the world's leading risk management scholars and practitioners, The Professional Risk Manager's International Association (PRMIA) is the higher standard for risk professionals in the development of new techniques and best practices for effectively managing financial and investment risk. McGraw-Hill and PRMIA have joined together to bring you the most up-to-date, global reference materials on risk management available anywhere. Each title applies risk management to specific fields in the industry, allowing you to stay on the cutting edge of your profession, and maximizeopportunities as they come.This is an invaluable resource for when you're ready to plunge into the heady world of hedge funds. "The Professional Risk Managers Guide to Financial Instruments" provides an invaluable primer into navigating the complex and profitable area of hedge funds, with detailed descriptionsof the major financial instruments, the valuation methods most appropriate for each, market risks, price drivers and their variables, and the professionalswho participate in each. With the insights of an international group of investment professionals and thinkers, this book covers the most active financial instruments, giving you that invaluable edge in this high-risk, highly popular field.

  • ISBN: 978-0-07-154649-2
  • Editorial: McGraw-Hill
  • Encuadernacion: Cartoné
  • Páginas: 400
  • Fecha Publicación: 01/01/2008
  • Nº Volúmenes: 1
  • Idioma: Inglés