CHF 147.00

Capital Markets Trading and Investment Strategies in China
A Practitioner's Guide

Inglese · Tascabile

Spedizione di solito entro 6 a 7 settimane

Descrizione

Ulteriori informazioni

This book covers in detail the building blocks of Chinese capital markets at the financial instrument level, the analytical pricing term structure of those instruments, the macro and industry economic framework and progress of the liberalization processes at work in the respective markets, the interaction of various participants in the markets, their trading and investment objectives and rationales, some of the most frequently applied trading and investment strategies, and risk management techniques. The book will especially benefit financial practitioners with in-depth knowledge of their respective capital markets area regarding foreign exchange, money markets, fixed income, and related derivatives, and who have a keen interest in gaining deeper insights into the Chinese market so as to develop or strengthen their global strategy application and risk management practice.

Info autore

Xiaojiang Zhang worked at various large global financial institutions in the areas of foreign exchange, fixed income, derivatives trading and portfolio management. Author of Capital Markets Trading and Investment Strategies in China published by Springer in 2018. Author of Mechanical Analysis of China's Macro Economic Structure published by Springer in 2020. Two times top economic think tank award winners.

Riassunto

This book covers in detail the building blocks of Chinese capital markets at the financial instrument level, the analytical pricing term structure of those instruments, the macro and industry economic framework and progress of the liberalization processes at work in the respective markets, the interaction of various participants in the markets, their trading and investment objectives and rationales, some of the most frequently applied trading and investment strategies, and risk management techniques. The book will especially benefit financial practitioners with in-depth knowledge of their respective capital markets area regarding foreign exchange, money markets, fixed income, and related derivatives, and who have a keen interest in gaining deeper insights into the Chinese market so as to develop or strengthen their global strategy application and risk management practice.

Dettagli sul prodotto

Autori Xiaojiang Zhang
Editore Springer, Berlin
 
Lingue Inglese
Contenuto Libro
Forma del prodotto Tascabile
Data pubblicazione 30.04.2019
Categoria Scienze sociali, diritto, economia > Economia > Singoli rami economici, branche
 
EAN 9789811341694
ISBN 978-981-1341-69-4
Numero di pagine 331
Illustrazioni XI, 331 p. 404 illus. in color.
Dimensioni (della confezione) 15.5 x 1.8 x 23.5 cm
Peso (della confezione) 528 g
 
Categorie Makroökonomie, B, Management und Managementtechniken, Risikobewertung, macroeconomics, Economics and Finance, risk management, capital market, Macroeconomics and Monetary Economics, Macroeconomics/Monetary Economics//Financial Economics, capital markets, Management & management techniques, Monetary Economics, IT Risk Management
 

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