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Dictionary of Financial Risk Management

Parametry

  • 225 stron
  • 8 godzin czytania

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The revolution in derivatives and risk management has created a new financial vocabulary. This remarkable reference gives readers the keys to understanding and using the language of financial risk. Risk management terminology comes from many markets, including cash, forwards/futures, swaps, options and many disciplines such as economics, tax and financial accounting, probability and statistics, and the law. This comprehensive dictionary carefully defines and illustrates the words and phrases of this rapidly changing field.

Zakup książki

Dictionary of Financial Risk Management, Gary L. Gastineau

Język
Rok wydania
1992
Oprawa
(twarda)
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Tytuł
Dictionary of Financial Risk Management
Język
angielski
Rok wydania
1992
Oprawa
twarda
Liczba stron
225
ISBN10
1557384436
ISBN13
9781557384430
Seria
Tagi
Opis
The revolution in derivatives and risk management has created a new financial vocabulary. This remarkable reference gives readers the keys to understanding and using the language of financial risk. Risk management terminology comes from many markets, including cash, forwards/futures, swaps, options and many disciplines such as economics, tax and financial accounting, probability and statistics, and the law. This comprehensive dictionary carefully defines and illustrates the words and phrases of this rapidly changing field.