Research Catalog
Risk management in volatile financial markets
- Title
- Risk management in volatile financial markets / edited by Franco Bruni, Donald E. Fair, and Richard O'Brien ; with contributions from Bill Allen [and others].
- Publication
- Dordrecht ; Boston : Kluwer Academic Publishers, [1996], ©1996.
Items in the Library & Off-site
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1 Item
Status | Format | Access | Call Number | Item Location |
---|---|---|---|---|
Text | Request in advance | HG2976 .R57 1996 | Off-site |
Holdings
Details
- Additional Authors
- Description
- xii, 371 pages : illustrations; 25 cm.
- Series Statement
- Financial and monetary policy studies ; v. 32
- Uniform Title
- Financial and monetary policy studies ; 32.
- Subject
- Banks and banking, Central > European Union countries > Congresses
- Asset-liability management > European Union countries > Congresses
- Bank investments > European Union countries > Congresses
- Institutional investments > European Economic Community countries > Congresses
- Risk management > European Union countries > Congresses
- Monetary policy > European Union countries > Congresses
- Note
- "Consisting of the lectures given at the 19th Colloquium, held in Thun, Switzerland, in October 1995"--Ser. t.p.
- "Published on behalf of the Société universitaire européenne de recherches financières (SUERF)."
- Bibliography (note)
- Includes bibliographical references.
- ISBN
- 0792340531 (alk. paper)
- LCCN
- 96016268
- OCLC
- 34514983
- ocm34514983
- Owning Institutions
- Columbia University Libraries