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It provides techniques to identify and manage risk—legal risk, operational risk, financial risk, moral risk, etc.—in oil trading with the key chapters discussing price risk and hedging.
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This second volume of highly topical two-volume set “The Investment Weapon” continues to present pioneering research for the purpose of developing a common analytical foundation and framework for the emerging interdisciplinary research field of investment control.
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Understanding the current scale and estimate of investment and its effects is crucial for promoting DRR investment, but such information and estimates are rarely available. This book examines the current investment trends and issues in DRR and CCA.
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This textbook provides a comprehensive introduction to portfolio management and investments. However, it will also benefit... Læs mere
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The terms venture capital and private equity may differ across countries. The second section details the differences between private... Læs mere
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This book analyzes the emerging asset class of digital assets. How do digital assets compare to... Læs mere
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Standard corporate evaluation approaches are improved by trendy innovation, especially as it concerns technological scale up and environmental issues such as digital networking or ESG compliance.
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This textbook provides a first-hand account of impact of volatility on valuations. Portfolio managers, fund managers and corporates continue to watch as prices plunge due to volatility and can impose future restrictions on their skillful maneuver.
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This volume brings together a broad range of articles on international law and foreign investment which together provide a contemporary overview of the diverse range of issues and perspectives which continue to exercise policy-makers and scholars alike.
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All hail the new masters of Capitalism: How asset managers acquired the world