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DEBT SECURITIES AND INTEREST RATE DERIVATIV


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ISBN: Ostalo
Godina izdanja: 2007
Oblast: Ekonomija
Jezik: Engleski
Autor: Strani

Handbook of Debt Securities and Interest Rate Derivatives, Author: A. V Rajwade

348 strana, tvrd povez, nova u foliji, sa cd-om

The importance of fixed income portfolios and the need to manage them prudently and optimally has grown rapidly in the recent years. Liberalization of the interest rate regime and consequent volatility of interest rates have added to both the risks and rewards of fixed income portfolios.

Handbook of Debt Securities and Interest Rate Derivatives covers:

Debt Securities and Markets
Money Market
Bond Market in India
Primary Market in G-Secs
Secondary Market
Interest Rate Derivatives
Market Practices and Data Sources


With this coverage, this book would serve the needs of financial intermediaries including commercial and cooperative banks, primary dealers, insurance companies, bond funds, corporate treasuries, etc

A. V. Rajwade is a well-known risk management consultant, author, columnist and trainer. He has vast experience and expertise in the financial markets including two decades of working with the SBI in India and abroad and almost three decades of consulting many corporate organizations and banks.

He has been a member of RBI`s Sodhani Committee on Foreign Exchange Markets in India and both the Committees on Capital Account Convertibility, and is also on the board of several public and private limited companies including Clearing Corporation of India, Thomas Cook, and Royal Sundaram Alliance Insurance Co. etc.

Rajwade has been contributing a popular weekly column `World Money` (first published in The Economic Times and later in Business Standard) for the last three decades. He has taught at premier management schools, such as IIM Ahmedabad and S. P. Jain Institute of Management. He has authored several books including Handbook of Debt Securities and Interest Rate Derivatives (2007) published by Tata McGraw Hill.

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Predmet: 74834453
Handbook of Debt Securities and Interest Rate Derivatives, Author: A. V Rajwade

348 strana, tvrd povez, nova u foliji, sa cd-om

The importance of fixed income portfolios and the need to manage them prudently and optimally has grown rapidly in the recent years. Liberalization of the interest rate regime and consequent volatility of interest rates have added to both the risks and rewards of fixed income portfolios.

Handbook of Debt Securities and Interest Rate Derivatives covers:

Debt Securities and Markets
Money Market
Bond Market in India
Primary Market in G-Secs
Secondary Market
Interest Rate Derivatives
Market Practices and Data Sources


With this coverage, this book would serve the needs of financial intermediaries including commercial and cooperative banks, primary dealers, insurance companies, bond funds, corporate treasuries, etc

A. V. Rajwade is a well-known risk management consultant, author, columnist and trainer. He has vast experience and expertise in the financial markets including two decades of working with the SBI in India and abroad and almost three decades of consulting many corporate organizations and banks.

He has been a member of RBI`s Sodhani Committee on Foreign Exchange Markets in India and both the Committees on Capital Account Convertibility, and is also on the board of several public and private limited companies including Clearing Corporation of India, Thomas Cook, and Royal Sundaram Alliance Insurance Co. etc.

Rajwade has been contributing a popular weekly column `World Money` (first published in The Economic Times and later in Business Standard) for the last three decades. He has taught at premier management schools, such as IIM Ahmedabad and S. P. Jain Institute of Management. He has authored several books including Handbook of Debt Securities and Interest Rate Derivatives (2007) published by Tata McGraw Hill.
74834453 DEBT SECURITIES AND INTEREST RATE DERIVATIV

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