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Economics/Finances Derivative Strategies for Managing Portfolio Risk

Posted on 2010-03-16




Name:Economics/Finances Derivative Strategies for Managing Portfolio Risk
ASIN/ISBN:1932495568
Language:English
File size:5.6 Mb
Publish Date: 1993
ISBN: 1932495568
Pages: 141 pages
File Type: PDF
File Size: 5,6 MB
Other Info: AIMR (CFA Institute)
   Economics/Finances Derivative Strategies for Managing Portfolio Risk

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Keith C. Brown, Don M. Chance, Roger G. Clarke, Murali Ramaswami, Matthew R. Smith, Eric S. Reiner and others, "Derivative Strategies for Managing Portfolio Risk"

This proceedings probes the opportunities for using domestic and international equity, fixed-income instruments, and currency derivatives--including options, futures, forwards, and swaps--in the portfolio management process. Proceedings of the AIMR seminar held April 13-14, 1993 in Marina Del Rey, California.

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