000 01843pam a22003854a 4500
001 99029572
003 AE-DuAU
005 20241127164254.0
008 050915s1999 nyua b 001 0 eng
010 _a 99029572
020 _a0071353151 :
_c65.00
040 _aDLC
_cDLC
_dDLC
042 _apcc
050 0 0 _aHG4538
_b.G5374 2000
069 _a09489103
090 _aHG 4538 .G5374 2000
090 _aHG 4538 .G5374 2000
245 0 0 _aGlobal investment risk management :
_bprotecting international portfolios against currency, interest rate, equity, and commodity risk /
_cedited by Ezra Zask.
260 _aNew York :
_bMcGraw Hill,
_cc2000.
300 _axv, 316 p. :
_bill. ;
_c24 cm.
336 _2rdacontent
_atext
_btxt
337 _2rdamedia
_aunmediated
_bn
338 _2rdacarrier
_avolume
_bnc
504 _aIncludes bibliographical references and index.
520 0 _aComplex political, economic, and social factors amplify investment risk. Global Investment Risk Management provides managers with the tools to stay atop this complex and ever-changing field. Leading global experts discuss every aspect of managing cross-border interest rate, equity, currency, and commodity risk, from regulatory issues to use of derivatives like futures, options, and swaps. Special attention is paid to derivatives risk control and emerging markets investment.
650 0 _aInvestments, Foreign.
_972085
700 1 _aZask, Ezra.
_972086
852 _9p65.00
_y08-27-2000
907 _a12879
_b08-06-10
_c08-06-10
942 _cBOOK
_01
998 _aaudmc
_b08-27-00
_cm
_da
_e-
_feng
_gnyu
_h0
935 _a070400
945 _g0
_i616193
_j0
_laudmc
_nCopy Type:01 - Books
_o-
_p238.88
_q-
_r-
_s-
_t1
_u1
_v0
_w1
_x0
_yi10182858
_z08-06-10
999 _c12879
_d12879