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Macrofinancial Risk Analysis

Autor DF Gray
en Limba Engleză Hardback – 14 mar 2008
Macrofinancial risk analysis Dale Gray and Samuel Malone Macrofinancial Risk Analysis provides a new and powerful framework with which policymakers and investors can analyze risk and vulnerability in economies, both emerging market and industrial.
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Specificații

ISBN-13: 9780470058312
ISBN-10: 0470058315
Pagini: 362
Dimensiuni: 168 x 244 x 23 mm
Greutate: 0.69 kg
Editura: Wiley
Locul publicării:Chichester, United Kingdom

Public țintă

Primary Market: Director of Risk Management of an investment bank or asset management firm
Emerging Market Strategist in a bank, investment bank, asset management firms including hedge funds engaged in international investing or arbitrage operations
High level officials in the Finance Ministry or Central Bank of most countries, especially in emerging market economies and in large industrial countries (according to the FT there are 500,000 central bankers worldwide).
Economists and managers of international financial institutions ( IMF, BIS multi–lateral development banks, government agencies)
Analysts and Country Risk Managers in companies investing abroad (direct investment and portfolio investments)
Analysts in government agencies who monitor risk internationally; Sovereign Credit Analyst at a major rating agency
Secondary Market:
Professor of Finance in a business school; Professor of Financial Economics in an economics department; Graduate student or advanced undergraduate in finance or economics; An Introduction to Macrofinance. for graduate students or advanced undergraduates in economics or finance. Typical course titles are: International Economics and/or Macroeconomics in Emerging Markets for graduate students in economics; Risk Management and/or Risk Management in Emerging Markets and/or Emerging Market Finance for masters and PhD students in economics and finance, and advanced undergraduates in these subjects.

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