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- catalog abstract ""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."--Jacket.".
- catalog contributor b11459361.
- catalog created "c2000.".
- catalog date "2000".
- catalog date "c2000.".
- catalog dateCopyrighted "c2000.".
- catalog description ""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."--Jacket.".
- catalog description "Ch. 1. Global Investment Risk Management / Ezra Zask -- Ch. 2. Institutional Use and Control of the Investment Process / Todd E. Petzel -- Ch. 3. Reducing Risk Using Global Bond Diversification / Lee R. Thomas -- Ch. 4. The Multiple Dimensions of Global Equity Risk Management -- A Practitioner's Perspective / Steven A. Schoenfeld -- Ch. 5. Currency Observations: Hedging Currency Risks / Raymond T. Dallo -- Ch. 6. Asset Allocation and the Rewards of Multiple-Asset-Class Investing / Roger C. Gibson -- Ch. 7. Asset Allocation and Portfolio Strategies / Vinod Chandrashekaran -- Ch. 8. Management of Currency Fluctuations Associated with International Investments / Ranga Nathan -- Ch. 9. Sovereign Credit Ratings: A Primer / David T. Beers.".
- catalog description "Includes bibliographical references and index.".
- catalog extent "xv, 316 p. :".
- catalog identifier "0071353151".
- catalog isPartOf "Irwin library of investment & finance.".
- catalog isPartOf "Irwin library of investment and finance".
- catalog issued "2000".
- catalog issued "c2000.".
- catalog language "eng".
- catalog publisher "New York : McGraw-Hill,".
- catalog subject "658.15/5 21".
- catalog subject "HG4538 .G46 2000".
- catalog subject "Investments, Foreign.".
- catalog tableOfContents "Ch. 1. Global Investment Risk Management / Ezra Zask -- Ch. 2. Institutional Use and Control of the Investment Process / Todd E. Petzel -- Ch. 3. Reducing Risk Using Global Bond Diversification / Lee R. Thomas -- Ch. 4. The Multiple Dimensions of Global Equity Risk Management -- A Practitioner's Perspective / Steven A. Schoenfeld -- Ch. 5. Currency Observations: Hedging Currency Risks / Raymond T. Dallo -- Ch. 6. Asset Allocation and the Rewards of Multiple-Asset-Class Investing / Roger C. Gibson -- Ch. 7. Asset Allocation and Portfolio Strategies / Vinod Chandrashekaran -- Ch. 8. Management of Currency Fluctuations Associated with International Investments / Ranga Nathan -- Ch. 9. Sovereign Credit Ratings: A Primer / David T. Beers.".
- catalog title "Global investment risk management : protecting international portfolios against currency, interest rate, equity, and commodity risk / edited by Ezra Zask.".
- catalog type "text".