Given the recent failings of a variety of financial institutions and business programmes are changing their finance curriculums to meet the industry's urgent need for graduates with a more sophisticated understanding of risk management. This text is designed as a core text for courses dealing with risk management and as a supplement for advanced undergraduate and MBA courses on insurance, financial institutions, corporate finance, options and futures, investments, portfolio management and banking and bank management.
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Verlagsort
Verlagsgruppe
Pearson Education Limited
Zielgruppe
Für höhere Schule und Studium
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Gewicht
ISBN-13
978-0-06-501156-2 (9780065011562)
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Schweitzer Klassifikation