Interest Rate Risk Measurement and Management
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Interest Rate Risk Measurement and Management

by Institutional Investor, Management: An Overview, Interest Rate Risk Measurement

Business Finance
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A professional resource covering the fundamentals of interest rate risk measurement and management for institutional investors and financial managers.

About This Book

This book provides an overview of interest rate risk measurement and management techniques.

It is intended for institutional investors and financial managers seeking to understand risk frameworks.

The content focuses on practical approaches used in professional financial settings.

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I will be using this book for: