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ISBN-13: 9781461285427, 978-1461285427. INSTITUTIONAL ISSUES AND PRACTICES The six papers in Part C focus on what market participants are doing to manage risk. Author(s): Franco Bruni, D.E. Fair, Richard O'Brien.
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Condition | Brand New |
Book Title | Risk Management in Volatile Financial Markets |
ISBN | 9781461285427 |
Publication Name | Risk Management in Volatile Financial Markets |
Publisher | Springer-Verlag New York Inc. |
Subject | Economics, Finance |
Publication Year | 2013 |
Series | Financial and Monetary Policy Studies |
Type | Textbook |
Format | Paperback |
Language | English |
Item Height | 235 mm |
Author | Richard O'brien, D.E. Fair, Franco Bruni |
Item Weight | 593 g |
Item Width | 155 mm |
Number of Pages | 371 Pages |
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