Risk Management (Paperback)

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Presents a collection of cases that span the spectrum of risky situations. Along with each case, readers are introduced to risk-reducing strategies such as hedging portfolio diversification, insurance, and derivative market mechanisms such as futures and options. Trains the reader in relevant methodologies such as exposure analysis, the capital asset pricing model, dynamic programming, and the use of preference curves.

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Product Description

Presents a collection of cases that span the spectrum of risky situations. Along with each case, readers are introduced to risk-reducing strategies such as hedging portfolio diversification, insurance, and derivative market mechanisms such as futures and options. Trains the reader in relevant methodologies such as exposure analysis, the capital asset pricing model, dynamic programming, and the use of preference curves.

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Product Details

General

Imprint

Course Technology

Country of origin

United States

Release date

February 1995

Availability

Supplier out of stock. If you add this item to your wish list we will let you know when it becomes available.

First published

1995

Authors

,

Dimensions

246 x 198 x 13mm (L x W x T)

Format

Paperback

Pages

263

ISBN-13

978-1-56527-276-7

Barcode

9781565272767

Categories

LSN

1-56527-276-5



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