
This second volume examines increasingly complex techniques so the user can understand how these products can be employed as part of an effective risk-control strategy. Many of the chapters are written by bankers and academicians, but all are edited so that the lay user can grasp the key concepts.
Page Count:
154
Publication Date:
1995-01-01
Publisher:
Euromoney Institutional Investor PLC
ISBN-10:
0961944617
ISBN-13:
9780961944612
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