Browse results

Showing 1-10 of 26 titles

1 Measuring Credit Risk - Risk Management Series: Credit Risk Management (Hardback)

by Brian Coyle

Format: Hardback 180 pages
Published: 01/01/2001

Not available on Waterstones.com


2 Hedging Interest Rate Exposures - Risk Management/Interest Risk Management S. (Hardback)

by Brian Coyle

Format: Hardback 180 pages
Published: 01/01/2001

Not available on Waterstones.com


3 Overview of the Markets - Risk Management/Debt & Equity Markets S. (Hardback)

by Brian Coyle

Format: Hardback 180 pages
Published: 01/01/2001

Not in stock

Usually despatched in 3-5 days


4 Money Markets - Risk Management/Interest Risk Management S. (Hardback)

by Brian Coyle

Format: Hardback 180 pages
Published: 01/01/2001

Not in stock

Usually despatched in 2-3 weeks


5 Bank Finance - Risk Management/Debt & Equity Markets S. (Hardback)

by Brian Coyle

Format: Hardback 180 pages
Published: 01/01/2001

Not in stock

Usually despatched in 3-5 days


6 Government Bonds - Risk Management/Debt & Equity Markets S. (Hardback)

by Brian Coyle

Format: Hardback 180 pages
Published: 01/01/2001

Not in stock

Usually despatched in 2-3 weeks


7 Currency Options - Risk Management/Currency Risk Management S. (Hardback)

by Brian Coyle

Format: Hardback 180 pages
Published: 01/01/2001

Not in stock

Usually despatched in 2-3 weeks


8 Equity Finance - Risk Management/Debt & Equity Markets S. (Hardback)

by Brian Coyle

Format: Hardback 180 pages
Published: 01/01/2001

Not in stock

Usually despatched in 2-3 weeks


9 Interest Rate Swaps - Risk Management/Interest Risk Management S. (Hardback)

by Brian Coyle

Format: Hardback 180 pages
Published: 01/01/2001

Not in stock

Usually despatched in 3-5 days


10 Corporate Bonds and Commercial Paper - Risk Management/Debt & Equity Markets S. (Hardback)

by Brian Coyle

Format: Hardback 180 pages
Published: 01/01/2001

Not in stock

Usually despatched in 2-3 weeks