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Derivatives & Risk Management Handbook 2009/10
Euromoney Institutional Investor, June 2009
As the financial world sets about recovering from the continued turbulent market conditions, risk management will play a pivotal role in the success of recovery. Continuing challenges need to be faced and extensive opportunities are also emerging. With continued globalisation, it is more essential than ever to keep up with the changing environment and ensure that you are in touch with cutting edge techniques, theories and trends. The Derivatives & Risk Management Handbook, now in its 16th year, once again features a foreword from Robert Pickel of ISDA and exclusive contributions from industry experts, covering the topics at the forefront of current debate and providing insightful and informative analyses delivered by an editorial board of excellence and variety.
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Foreign Exchange & Treasury Management Handbook 2009
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