An introduction to risk management and derivatives
Textbook (chapter)
Viney, Christopher and Phillips, Peter. 2012. "An introduction to risk management and derivatives." Financial institutions, instruments & markets, 7th ed.. Sydney, Australia. McGraw-Hill Australia. pp. 582-611
Chapter Title | An introduction to risk management and derivatives |
---|---|
Book Chapter Category | Textbook (chapter) |
Book Title | Financial institutions, instruments & markets, 7th ed. |
Authors | Viney, Christopher (Author) and Phillips, Peter (Author) |
Page Range | 582-611 |
Number of Pages | 29 |
Year | 2012 |
Publisher | McGraw-Hill Australia |
Place of Publication | Sydney, Australia |
ISBN | 9780071012416 |
Web Address (URL) | http://www.mcgraw-hill.com.au/html/9780071012416.html |
Abstract | This text discusses the structure, functions and operations of a modern financial system and, crucially, recognises that finance is a global business. Therefore, as well as solid integration of the local financial environment, the international aspect has been considered essential and means the text is as relevant to a commercial bank in Hong Kong as to an investment bank in Sydney. This text has been comprehensively updated to take account of the continuing crisis in the world financial market. |
Keywords | financial institutions |
ANZSRC Field of Research 2020 | 350208. Investment and risk management |
Public Notes | Chapter 18. Textbook. |
Byline Affiliations | Monash University |
School of Accounting, Economics and Finance | |
Institution of Origin | University of Southern Queensland |
Permalink -
https://research.usq.edu.au/item/q1827/an-introduction-to-risk-management-and-derivatives
1792
total views6
total downloads2
views this month0
downloads this month