Advances in Risk Management (Finance and Capital Markets Series) .
Palgrave Macmillan, UK, 2007. First Edition, Hardcover. Very Good Condition. 9780230019164 402 pages. Available Now. Book Description: This important new book brings together an edited series of papers about risk management and the latest developments in this field. Covering topics such as Stochastic Volatility, Risk Dynamics, Weather Derivatives and Portfolio Diversification, this fundam : About the Author: GREG N. GREGORIOU is Associate Professor of Finance and coordinator of faculty research in the School of Business and Economics at State University of New York (Plattsburgh). He obtained his PhD (Finance) from the University of Quebec at Montreal and is the hedge fund editor for the peer-reviewed journal Derivatives Use, Trading and Regulation published by Palgrave-MacMillan based in the U.K. He has authored over 50 articles on hedge funds, and managed futures in various U.S. and U.K. peer-reviewed publications, including the Journal of Portfolio Management, Journal of Futures Markets, European Journal of Finance, Journal of Asset Management, European Journal of Operational Research, and Annals of Operations Research. He has edited twelve books on hedge funds, funds of hedge funds, CTAs, IPOs, Corporate Governance and investment management. Size: 15.6 x 2.2 x 23.4 cm. 402 pages. Multiple copies available this title. Quantity Available: 2. Category: Miscellaneous; Hardbacks; ISBN: 0230019161. ISBN/EAN: 9780230019164. Inventory No: B196-1019.
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Book number: B196-1019
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Keywords: BZDB395 Miscellaneous; Hardbacks; Advances in Risk Management Finance and Capital Markets Series Hardbacks