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Table of contents (17 chapters)
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Central Bank Perspectives
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Volatility and Risk
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Institutional Issues and Practices
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Policy Implications
Keywords
About this book
Editors and Affiliations
Bibliographic Information
Book Title: Risk Management in Volatile Financial Markets
Editors: Franco Bruni, Donald E. Fair, Richard O’Brien
Series Title: Financial and Monetary Policy Studies
DOI: https://doi.org/10.1007/978-1-4613-1271-0
Publisher: Springer New York, NY
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eBook Packages: Springer Book Archive
Copyright Information: Springer Science+Business Media Dordrecht 1996
Hardcover ISBN: 978-0-7923-4053-9Published: 30 April 1996
Softcover ISBN: 978-1-4612-8542-7Published: 01 September 2013
eBook ISBN: 978-1-4613-1271-0Published: 06 December 2012
Series ISSN: 0921-8580
Series E-ISSN: 2197-1889
Edition Number: 1
Number of Pages: XIII, 371
Topics: Finance, general, Macroeconomics/Monetary Economics//Financial Economics, International Economics