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Risk Management in Volatile Financial Markets - Financial and Monetary Policy Studies Franco Bruni Softcover reprint of the original 1st ed. 1996 edition
Risk Management in Volatile Financial Markets - Financial and Monetary Policy Studies
Franco Bruni
In a thirteen country case study of the bond market turbulence of 1994, Bo rio and McCauley of the BIS pin the primary causes of the market decline on the market's own dynamics rather than on variations in market participants' apprehensions about economic fundamentals.
386 pages, biography
| Media | Books Paperback Book (Book with soft cover and glued back) |
| Released | September 1, 2013 |
| ISBN13 | 9781461285427 |
| Publishers | Springer-Verlag New York Inc. |
| Pages | 371 |
| Dimensions | 155 × 235 × 20 mm · 539 g |
| Language | English |
| Editor | Bruni, Franco |
| Editor | Fair, D.E. |
| Editor | O'Brien, Richard |