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9781883249571

Dictionary of Financial Risk Management

by ;
  • ISBN13:

    9781883249571

  • ISBN10:

    1883249570

  • Edition: 3rd
  • Format: Hardcover
  • Copyright: 1999-11-15
  • Publisher: Wiley

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Supplemental Materials

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Summary

Gary Gastineau and Mark Kritzman team up once again for the third edition of this classic reference tool designed for financial analysts and managers. Anyone involved in financial risk management must have a proper understanding of the words, terms, and phrases used in this fast paced field?and Dictionary of Financial Risk Management clearly provides that understanding

Author Biography

Gary L. Gastineau is Senior Vice President, New Product Development at the American Stock Exchange. He is also an Adjunct Professor at The Center for Technology and Financial Services at the Polytechnic Institute, and an independent risk management consultant. Gastineau is the author of several books and is on the editorial board of several journals, including the Financial Analysts Journal, the Journal of Portfolio Management, the Journal of Derivatives, and Derivatives Quarterly. He holds an MBA from the Harvard Business School.

Table of Contents

Preface i
Acknowledgments ii
The Essentials of Financial Risk Management
1(10)
Dictionary Listings
11(328)
Appendix 339(1)
Greek Alphabet 339(1)
Selected Currency Symbols 340(1)
Debt Ratings 341

Supplemental Materials

What is included with this book?

The New copy of this book will include any supplemental materials advertised. Please check the title of the book to determine if it should include any access cards, study guides, lab manuals, CDs, etc.

The Used, Rental and eBook copies of this book are not guaranteed to include any supplemental materials. Typically, only the book itself is included. This is true even if the title states it includes any access cards, study guides, lab manuals, CDs, etc.

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