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MARC状态:审校 文献类型:西文图书 浏览次数:6

题名/责任者:
Options trading for the institutional investor : managing risk in financial institutions / Michael C. Thomsett.
出版发行项:
Upper Saddle River, NJ : Pearson Education, 2014.
ISBN:
9780133811667
ISBN:
0133811662
载体形态项:
xiii, 322 pages : illustrations ; 24 cm
个人责任者:
Thomsett, Michael C.
论题主题:
Options (Finance)
论题主题:
Investments.
论题主题:
Options (Finances)
论题主题:
Investissements.
论题主题:
portfolios (financial records)
论题主题:
Investments.
论题主题:
Options (Finance)
论题主题:
Optionsgescha ft
论题主题:
Anlageverhalten
论题主题:
Risikomanagement
论题主题:
Institutioneller Investor
中图法分类号:
F830.9
一般附注:
Includes index.
摘要附注:
To protect portfolios in today's volatile and uncertain market environment, institutional investors need to hedge losses, create extra sources of income, and reduce risk. In his extensively updated and expanded Options Trading for the Institutional Investor, Third Edition, renowned options expert Michael C. Thomsett shows how to do all this effectively. One step at a time, Thomsett helps institutional investors exploit powerful, carefully chosen options strategies that can dramatically increase overall returns as you manage risks within your institution's limits. Thomsett discusses covered call writing on carefully selected stocks, contingent purchase strategies, and powerful "combination" strategies that produce cash to bolster current income. He guides professional investors through every strategy, using actual examples, portfolios, and graphs taken directly from today's markets. Wherever applicable, he addresses specific forms of risk and volatility that only institutional investors face.
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F830.9/X3 X001973   经济书库-外文图书417     可借 经济书库-外文图书417
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