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Management of interest rate exposure

By: Language: English Series: Journal of Property Finance ; 1 (4) Spring 1991, 530-538 (9)Publication details: 1991Subject(s): Summary: Seeks to provide a pragmatic approach to managing interest rate risk including cautionary notes for those unaccustomed to the problems which might arise from the use of some risk management instruments. (Adapted from Journal Abstract).
Holdings
Item type Current library Call number Copy number Status Barcode
Journal article London Journal article X2807 (Browse shelf(Opens below)) 1 Available 26443-1001

Seeks to provide a pragmatic approach to managing interest rate risk including cautionary notes for those unaccustomed to the problems which might arise from the use of some risk management instruments. (Adapted from Journal Abstract).