From the "Risk Management" series, this is a practical guide to international government bonds, explaining their characteristics and then examining in turn the bond markets of the UK, US, Germany and Japan. It describes the instruments for borrowing, the markets for long-term borrowing, and liquidity. This range of risk management texts has ......
| ISBN-13: | 9780852974551 |
| ISBN-10: | 0852974558 |
| Publisher: | Financial World Publishing |
| Publication date: | 2002 |
| Pages: | 144 |
| Author: | Brian Coyle |
| Language: | en |
| Binding: | Hardcover |
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