Capital Markets, sixth edition: Institutions, Instruments, and Risk Management
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Capital Markets, sixth edition: Institutions, Instruments, and Risk Management

by Frank J. Fabozzi

Finance Textbook Investing Risk Management
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Capital Markets, sixth edition provides a broad, organized overview of capital markets, with attention to institutions, instruments, and risk management. Frank J. Fabozzi presents a foundation for students, professionals, and general readers seeking to understand the core structure and language of modern finance.

About This Book

Capital Markets, sixth edition offers a structured introduction to the world of capital markets.

The book focuses on institutions, financial instruments, and risk management.

Written by Frank J. Fabozzi, it is suited to readers developing or strengthening their understanding of finance.

This edition provides a broad foundation for studying how capital markets are organized and managed.

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I will be using this book for: