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Risk Portfolio Management and Capital Markets at Meripustak

Risk Portfolio Management and Capital Markets by Terence E. Cooke , Palgrave

Books from same Author: Terence E. Cooke

Books from same Publisher: Palgrave

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  • General Information  
    Author(s)Terence E. Cooke
    PublisherPalgrave
    ISBN9781349116683
    Pages203
    BindingPaperback
    LanguageEnglish
    Publish YearJanuary 2014

    Description

    Palgrave Risk Portfolio Management and Capital Markets by Terence E. Cooke

    A compilation of the proceedings of a conference held at the University of Exeter on risk, portfolio management and capital markets._x000D_ Table of contents :- _x000D_ Part 1 The revolution in equity management: the revolution in asset management and its applications, David Damant; capital appreciation protection, Andrew Perrins; asset allocation - a case study, Jane Platt; a non-linear model of portfolio behaviour, David Blake. Part 2 Special problems: tax effects in gilt edged security valuation, Robert Luther and J. Matatko; interest rate management, Charles Owen-Conway; investment trust price discounts, J. Matatko and Richard Purkis; new Japanese index futures, Desmond Corner and Toru Takenashi. Part 3 Developments in accounting and finance: problems of assessing risk and return inside an operating business, Alan Bainbridge; problems of income recognition - capital markets institution, Richard Stevens._x000D_



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