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Risk Management for Central Banks and Other Public Investors

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Autorius Bookshop
Leidimo metai 2009 m.
Puslapių skč. 542 psl.
Viršelis Kietas viršelis
ISBN 9780521518567

Risk Management for Central Banks and Other Public Investors

Explore the intricate world of financial stability with "Risk Management for Central Banks and Other Public Investors" by the esteemed Cambridge University Press. Published in 2009, this comprehensive hardback spans 542 pages, offering an in-depth survey of risk management issues crucial for central banks and public investors alike. In the wake of challenges posed by the American mortgage market, this book underscores the importance of understanding the interdependencies within global financial institutions. With expert insights, it guides readers through the development of more effective risk management systems. This essential resource is perfect for finance professionals and policymakers aiming to enhance their strategies in a complex financial landscape.

Book cover of: Risk Management for Central Banks and Other Public Investors

Risk Management for Central Banks and...

Normaali hinta €174,60
Myyntihinta €174,60 Normaali hinta €180,00