This text book is meant for students sitting for FRM examination. It covers the following - Mechanics of OTC and exchange markets - Forwards, futures, swaps and options - Interest rates and measures of interest rate sensitivity - Derivatives on fixed income securities, interest rates, foreign exchange, futures, commodities, and equities - Foreign exchange risk - Corporate bonds - Rating agencies
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Seller: -OnTimeBooks-, Phoenix, AZ, U.S.A.
Condition: good. A copy that has been read, remains in good condition. All pages are intact, and the cover is intact. The spine and cover show signs of wear. Pages can include notes and highlighting and show signs of wear, and the copy can include "From the library of" labels or previous owner inscriptions. 100% GUARANTEE! Shipped with delivery confirmation, if you're not satisfied with purchase please return item for full refund. Ships via media mail. Seller Inventory # OTV.1269591088.G
Seller: Hamelyn, Madrid, M, Spain
Condition: Como nuevo. : Este libro de texto está diseñado para estudiantes que se preparan para el examen FRM. Cubre los mercados OTC y de cambio, forwards, futuros, swaps y opciones, tasas de interés y medidas de sensibilidad a las tasas de interés, derivados sobre valores de renta fija, tasas de interés, divisas, futuros, materias primas y acciones, riesgo de tipo de cambio, bonos corporativos y agencias de calificación. EAN: 9781269591089 Tipo: Libros Categoría: Negocios y Economía Título: Financial Risk Manager, FRM Part I Autor: Global Association of Risk Professionals Editorial: Prentice Hall Idioma: en Páginas: 318 Formato: tapa blanda. Seller Inventory # Happ-2024-09-12-10e2ee3c
Quantity: 1 available