Systemic Liquidity Risk And Bipolar Markets

Published: 14 December 2012
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A topical guide to building robust and profitable portfolios in the modern financial landscape In Tail Risk and Asset Allocation respected advisor and trainer Clive Corcoran shows investors and traders how to manage a stable and profitable portfolio by taking in to account tail risk and focusing on global macro and beta correlations.
Published: 14 December 2012

Country of Origin : United States
Number Of Pages : 360
Year of Publication : 2012

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Catalogue No: 1118409337