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Asset–Liability Management for Financial Institutions: Balancing Financial Stability with Strategic Objectives - Couverture rigide

 
9781849300414: Asset–Liability Management for Financial Institutions: Balancing Financial Stability with Strategic Objectives

Synopsis

QFINANCE KEY CONCEPTS series is an essential aid to the budding finance professional who requires the distilled and in-depth information for that all-important meeting, interview or daily task. Each book is set to a standard format, which includes real-life case studies, chapter summaries and step-by-step advice plus sources of further information.

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À propos de l'auteur

Bob Swarup is a respected investor, thought leader and commentator on financial markets, investments and regulation. Born in India in 1977, he was educated in England. He holds an MA from the University of Cambridge, two Masters degrees, and a PhD in cosmology from Imperial College London. He has managed investments at financial institutions, sat on the boards of hedge funds and private equity firms, worked closely with leading think tanks, advised policymakers and industry alike, and is an award-winning journalist. He lives in London.

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