Financial risk management-China
Financial risk management-China is a book subject. It includes 3 books, written by 3 different authors.
Key facts
- number of authors: 3 people
- number of books: 3
- books: China's monetary policy regulation and financial risk prevention : the study of effectiveness and appropriateness, Downside risk in the Chinese stock market : has it fundamentally changed?, Managing BRIC real estate investment risk
- authors: Hui Zhou, Eric Ghysels, Darin Bifani
- publication dates: 2015, 2017, 2012
- book publishers: : Springer, Centre for Economic Policy Research, Euromoney Books
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This dashboard is based on data from: The British Library.
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