Dictionary of Financial Risk Management
Brown (William C.) Co ,U.S. (Publisher)
Published on 1. December 1996
Book
Hardback
250 pages
978-1-883249-14-4 (ISBN)
Description
This updated dictionary gives the recent financial vocabulary with regards to derivatives and financial risk. Risk management terminology comes from a number of different markets, including: cash; forwards/futures; swaps; options; and many disciplines such as - economics, tax and financial accounting; probability and statistics; and the law. Each entry is clearly defined and illustrated for clarity.
This updated dictionary gives the recent financial vocabulary with regards to derivatives and financial risk. Risk management terminology comes from a number of different markets, including: cash; forwards/futures; swaps; options; and many disciplines such as - economics, tax and financial accounting; probability and statistics; and the law. Each entry is clearly defined and illustrated for clarity.
This updated dictionary gives the recent financial vocabulary with regards to derivatives and financial risk. Risk management terminology comes from a number of different markets, including: cash; forwards/futures; swaps; options; and many disciplines such as - economics, tax and financial accounting; probability and statistics; and the law. Each entry is clearly defined and illustrated for clarity.
More details
Edition
Revised edition
Language
English
Place of publication
Dubuque, IA
United States
Publishing group
McGraw-Hill Education - Europe
Target group
College/higher education
Professional and scholarly
Edition type
Revised edition
Dimensions
Height: 228 mm
Width: 152 mm
Weight
8200 gr
ISBN-13
978-1-883249-14-4 (9781883249144)
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Schweitzer Classification