Investment Management in Capital Markets and Credit Portfolio Management introduces the fundamental concepts, structure, and critical role of capital markets in facilitating long-term finance and economic growth. It underscores the importance of efficient capital allocation, highlighting the inherent challenges of managing investment strategies amidst diverse risk-return profiles and navigating complex regulatory landscapes to ensure market stability and investor protection.The book comprehensively covers capital market operations, regulatory frameworks, and various investment management strategies, including their impact on economic development. It further delves into the systematic processes of credit management approval and the core principles of credit risk management, encompassing identification, assessment, and mitigation. This resource is invaluable for investors, financial professionals, policymakers, and students seeking a deep understanding of capital markets and credit portfolio dynamics.
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