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Risk Management In Turbulent Times eBook
idioma: inglês
Editor:
Oxford University Press, agosto de 2011 ‧
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75,51€
10% DESCONTO
CARTÃO
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DISPONIBILIDADE IMEDIATA
Ebook para ADE
SINOPSE
The risk management models used by banks and insurance companies are designed for when financial markets behave smoothly and efficiently. However, large risks materialize very often, and financial markets periodically go through bubbles and crashes. This book provides a road map of the most popular models of risk management and shows how they can be adapted to "turbulent times".
DETALHES
| Propriedade | Descrição |
|---|---|
| ISBN: | 9780199339921 |
| Editor: | Oxford University Press |
| Data de Lançamento: | agosto de 2011 |
| Idioma: | Inglês |
| Tipo de produto: | eBook |
| Formato e Compatibilidade: | |
| Classificação Temática: |
eBooks em Inglês
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Economia, Finanças e Contabilidade
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Finanças
|
| EAN: | 9780199339921 |
| Acessibilidade: | Ver características de acessibilidade indicadas pelo editor |