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 Risk Management Capital Markets
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Capital Markets, sixth edition offers a structured introduction to the institutions, instruments, and risk management practices associated with capital markets. Frank J. Fabozzi’s book provides a useful foundation for students, professionals, and readers seeking a broad understanding of financial markets and their operation.

About This Book

Capital Markets, sixth edition presents an overview of the institutions and instruments that shape modern capital markets.

The book also addresses risk management, providing context for understanding how financial risks are identified and managed.

Written by Frank J. Fabozzi, this edition is designed as a reference for readers studying or working with capital markets.

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I will be using this book for: