DerivativeStrategies_Managing_Portfolio_Risk.zip
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本附件包括:- Derivative Strategies for Managing Portfolio Risk-Keith C. Brown-1932495568.pdf
Derivative Strategies for Managing Portfolio Risk
by Keith C. Brown (Author) , Don M. Chance (Author)

This proceedings probes the opportunities for using domestic and international equity, fixed-income instruments, and currency derivatives--including options, futures, forwards, and swaps--in the portfolio management process. Proceedings of the AIMR seminar held April 13-14, 1993 in Marina Del Rey, California.
Paperback: 141 pagesPublisher: AIMR (CFA Institute) (July 1, 1993)Language: EnglishISBN-10: 1932495568



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