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. Ed(S): Bruni, Franco; Fair, Donald E.; O'Brien, Richard - Risk Management in Volatile Financial Markets - 9780792340539 - V9780792340539
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Risk Management in Volatile Financial Markets

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Description for Risk Management in Volatile Financial Markets Hardback. Following assessments of the extent of market volatility and risk in financial markets, this book presents examples of how private institutions are developing risk management techniques and case studies from specific markets including securities markets and retail banking. Editor(s): Bruni, Franco; Fair, Donald E.; O'Brien, Richard. Series: Financial and Monetary Policy Studies. Num Pages: 384 pages, biography. BIC Classification: KCLF; KFF. Category: (P) Professional & Vocational; (UP) Postgraduate, Research & Scholarly. Dimension: 234 x 156 x 22. Weight in Grams: 724.
intense competition on banks and other financial institutions, as a period of oligopoly ends: more rather than less innovation is needed to help share undi­ versifiable risks, with more attention to correlations between different risks. Charles Goodhart of the London School of Economics (LSE), while ques­ tioning the idea that volatility has increased, concludes that structural changes have made regulation more problematic and calls for improved information availability on derivatives transactions. In a thirteen country case study of the bond market turbulence of 1994, Bo­ rio and McCauley of the BIS pin the primary causes of the market decline on ... Read more

Product Details

Format
Hardback
Publication date
1996
Publisher
Kluwer Academic Publishers United States
Number of pages
384
Condition
New
Series
Financial and Monetary Policy Studies
Number of Pages
371
Place of Publication
Dordrecht, Netherlands
ISBN
9780792340539
SKU
V9780792340539
Shipping Time
Usually ships in 15 to 20 working days
Ref
99-15

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