Derivatives and Risk Management - A process for using derivatives to manage risk should be integrated into an investor's investment management strategy. The authors discuss the changing risk environment, which has given rise to a more strategic focus on risk management. They examine the role of derivatives in risk management and demonstrate how various instruments can be applied to specific types ...
Year of publication: |
1999
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Authors: | Collins, Bruce M. ; Fabozzi, Frank J. |
Published in: |
The journal of portfolio management : a publication of Institutional Investor. - New York, NY : Institutional Investor, ISSN 0095-4918, ZDB-ID 1971451. - 1999, SPECI, p. 16-27
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Saved in:
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