Managing Interest Rate Risk: Using Financial Derivatives (книга)
Managing Interest Rate Risk: Using Financial Derivatives | |
Автор: | John J. Stephens |
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Оригинал издан: | ???? |
«Managing Interest Rate Risk: Using Financial Derivatives» — книга ???? года.
Содержание |
Содержание 
От издателя 
«Economic conditions can change dramatically over time, requiring significant changes in interest rates. Loans that appeared desirable methods of expansion when taken out can, with a change in interest rates, become massive outgoings that leave the…»