The professional risk manager's guide to financial instruments

Alexander, Carol and Sheedy, Elizabeth, eds. (2008) The professional risk manager's guide to financial instruments. PRMIA Risk Management Series . McGraw-Hill, New York. ISBN 9780071546492

Full text not available from this repository.

Abstract

The Professional Risk Managers Guide to Financial Instruments provides an invaluable primer into navigating the complex and profitable area of hedge funds, with detailed descriptions of the major financial instruments, the valuation methods most appropriate for each, market risks, price drivers and their variables, and the professionals who participate in each.

With the insights of an international group of investment professionals and thinkers, this book covers the most active financial instruments, giving investors that invaluable edge in this high-risk, highly popular field.

Item Type: Edited Book
Schools and Departments: School of Business, Management and Economics > Centre for Community Engagement
Subjects: H Social Sciences > HG Finance
Depositing User: Carol Alexander
Date Deposited: 27 Sep 2012 13:38
Last Modified: 27 Sep 2012 13:38
URI: http://sro.sussex.ac.uk/id/eprint/40651
📧 Request an update