![Mastering illiquidity risk management for portfolios of limited partnership funds için kapak resmi Mastering illiquidity risk management for portfolios of limited partnership funds için kapak resmi](/client/assets/d79c3e4af2b6d196/ctx/images/no_image.png)
Mastering illiquidity risk management for portfolios of limited partnership funds
Başlık:
Mastering illiquidity risk management for portfolios of limited partnership funds
Yazar:
Cornelius, Peter, 1960-
Yayın Bilgileri:
Chichester, West Sussex : John Wiley & Sons, Ltd., 2013.
Fiziksel Tanımlama:
xvi, 288 p. : ill.
İçerik:
pt. I. Illiquid investments as an asset class -- pt. II. Risk measurement and modelling -- pt. III. Risk management and its governance.