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OverviewFrom the Risk Management series, this title examines the debt and equity markets and introduces techniques for evaluating which markets to use, when to use them and how much funding to raise from them. This range of risk management texts has undergone extensive re-writing to give each book in the series an international perspective. Each explains and analyses core aspects of risk assessment management so as to be useful to students and practitioners. All of the titles adopt a practical and clear approach to their subject, and all are fully updated versions of a series of books previously produced by training experts at BPP. Full Product DetailsAuthor: Brian CoylePublisher: Financial World Publishing Imprint: Financial World Publishing Edition: Revised edition Weight: 0.535kg ISBN: 9780852974520ISBN 10: 0852974523 Pages: 180 Publication Date: 01 January 2001 Audience: General/trade , General Format: Hardback Publisher's Status: Active Availability: Out of stock The supplier is temporarily out of stock of this item. It will be ordered for you on backorder and shipped when it becomes available. Table of ContentsCapital market instruments; market participants; the markets; market prices and yields; new issues; dealing; confirmation and settlement; market regulation; risk management and the capital markets.ReviewsAuthor InformationBrian Coyle is a former director of BPP Training. Tab Content 6Author Website:Countries AvailableAll regions |
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