Risk management in volatile financial markets

Enth. 17 Beitr.

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Bibliographische Detailangaben
Weitere Verfasser: Bruni, Franco (BerichterstatterIn), Fair, Donald E. (BerichterstatterIn), O'Brien, Richard (BerichterstatterIn), Allen, Bill (BerichterstatterIn), Allen, William A. (BerichterstatterIn)
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Sprache:eng
Veröffentlicht: Dordrecht, Boston Kluwer Academic Publishers c1996
Schriftenreihe:Financial and monetary policy studies 32
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Titel Jahr Verfasser
Currency exposure management within Philips 1996 Ronner, Arjen E.
Central banking and market volatility : the Marjolin lecture 1996 Raymond, Robert J.
Is central bank intervention effective in stabilizing exchange rates? 1996 Weber, Axel A.
Volatility and risk in integrated financial systems : measurement, transmission and policy implications 1996 Kearney, Colm
Has financial risk really worsened? 1996 Goodhart, Charles A. E.
Internal organisation of risk control and management in a bank with large international operations 1996 Gumerlock, Robert S.
Monetary policy and liberalisation in Poland, Russia and the United Kingdom 1996 Allen, William A.
The emerging framework of bank regulation and capital control 1996 Alworth, Julian
Does the Paris warrants market present a systemic risk? 1996 Caillet, Bruno
Measuring value-at-risk for mortgage backed securities 1996 Jakobsen, Svend
Institutional investors, unstable financial markets and monetary policy 1996 Davis, E. Philip
The changing structure of financial institutions and markets : a central bank perspective 1996 Crockett, Andrew
Volatility is here to stay : some thoughts on its implications 1996 Lusser, Markus
Volatility, international trade and capital flows 1996 Stokman, Ad C. J.
Asset liability management in retail banking 1996 Lewis, Mervyn
The anatomy of the Bond Market Turbulence of 1994 1996 Borio, Claudio E. V.
Financial innovations and the incidence of risk in the financial system 1996 Hellwig, Martin
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