Risk Management – Approaches for Fixed Income Markets Golub Hardback

Risk Management – Approaches for Fixed Income Markets Golub Hardback

Risk ManagementApproaches for Fixed Income Markets\nAuthor(s): Bennett W. Golub, Leo M. Tilman\nFormat: Hardback\nPublisher: John Wiley & Sons Inc, United States\nImprint: John Wiley & Sons Inc\nISBN-13: 9780471332114, 978-0471332114\nSynopsis\nRISK 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, S)

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