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Détail d'une collection
Collection Irwin library of investment & finance
- Editeur : McGraw-Hill
- ISSN : pas d'ISSN
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Faire une suggestion Affiner la rechercheGlobal investment risk management
Titre : Global investment risk management : protecting international portfolios against currency, interest rate, equity, and commodity risk / Type de document : texte imprimé Auteurs : Ezra Zask, Editeur scientifique Editeur : New York : McGraw-Hill Année de publication : 2000 Collection : Irwin library of investment & finance Importance : XV-316 p. Présentation : ill. Format : 24 cm ISBN/ISSN/EAN : 978-0-07-135315-1 Langues : Anglais (eng) Mots-clés : Investments, Foreign
Aufsatzsammlung
AuslandsinvestitionIndex. décimale : 658.15 Gestion financière. Direction financière des entreprises Résumé : Global Investment Risk Management shows you how to hedge against the risk - while maximizing the return premium - that is inherent in every foreign investment. A wide spectrum of international investment professionals provide valuable, nuts-and-bolts guidance for investors and portfolio managers, outlining the wealth and diversity of today's risk management strategies. Note de contenu : Table des matières
* Global Investment Risk Management.
* Institutional Use and Control of the Investment Process.
* Reducing Risk Using Global Bond Diversification.
* The Multiple Dimensions of Global Equity Risk Management - A Practitioner's Perspective.
* Currency Observations: Hedging Currency Risks.
* Asset Allocation and the Rewards of Multiple-Asset-Class Investing.
* Asset Allocation and Portfolio Strategies.
* Management of Currency Fluctuations Associated with International Investments.
* Sovereign Credit Ratings: A Primer.
* Hedgin the Currency Exposure of a Nondollar Portfolio.
...Global investment risk management : protecting international portfolios against currency, interest rate, equity, and commodity risk / [texte imprimé] / Ezra Zask, Editeur scientifique . - McGraw-Hill, 2000 . - XV-316 p. : ill. ; 24 cm. - (Irwin library of investment & finance) .
ISBN : 978-0-07-135315-1
Langues : Anglais (eng)
Mots-clés : Investments, Foreign
Aufsatzsammlung
AuslandsinvestitionIndex. décimale : 658.15 Gestion financière. Direction financière des entreprises Résumé : Global Investment Risk Management shows you how to hedge against the risk - while maximizing the return premium - that is inherent in every foreign investment. A wide spectrum of international investment professionals provide valuable, nuts-and-bolts guidance for investors and portfolio managers, outlining the wealth and diversity of today's risk management strategies. Note de contenu : Table des matières
* Global Investment Risk Management.
* Institutional Use and Control of the Investment Process.
* Reducing Risk Using Global Bond Diversification.
* The Multiple Dimensions of Global Equity Risk Management - A Practitioner's Perspective.
* Currency Observations: Hedging Currency Risks.
* Asset Allocation and the Rewards of Multiple-Asset-Class Investing.
* Asset Allocation and Portfolio Strategies.
* Management of Currency Fluctuations Associated with International Investments.
* Sovereign Credit Ratings: A Primer.
* Hedgin the Currency Exposure of a Nondollar Portfolio.
...Exemplaires
Code-barres Cote Support Localisation Section Disponibilité Etat_Exemplaire 049819 658.15 GLO Papier Bibliothèque Centrale Génie Industriel Disponible En bon état