Description:
The growth of financial derivatives over the past 20 years has meant that increasingly the main priority of financial institutions is to assess and manage the investment risks which are associated with these instruments. Successful risk management not only offers institutions a competitive advantage but is also essential for regulatory compliance. Concentrating on the key markets where risk management can be most effective and the products which can be used and implemented, this edition has been developed, extensively expanded and fully updated from Part I of the highly successful Handbook of Risk Management and Analysis published by Wiley in April 1996.
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Returnable at the third party seller's discretion and may come without consumable supplements like access codes, CD's, or workbooks.
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