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Scenarios for Risk Management and Global Investment Strategies

Description

This book, written by two distinguished scholars, provides empirical and theoretical material that is valuable for those interested in financial markets and theories, investment strategies and financial historical events. The authors' framework for discussing these matters is to provide a number of theoretical and empirical scenarios, along with empirical data, that characterize problems being considered. Many references to the theoretical and empirical economic, financial and other relevant literatures and provided to round out the author's analyses and conclusions that should be of great interest to many seeking knowledge and understanding of the financial world.

Keywords

Investment Strategies Risk management Investment Hedge fund Investors Prices Economic challenges Inflation Debt Currency Capital

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