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008 | 050915s1999 nyua b 001 0 eng | ||
010 | _a 99029572 | ||
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_a0071353151 : _c65.00 |
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_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. |
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300 |
_axv, 316 p. : _bill. ; _c24 cm. |
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336 |
_2rdacontent _atext _btxt |
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337 |
_2rdamedia _aunmediated _bn |
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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 |
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852 |
_9p65.00 _y08-27-2000 |
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