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100301s2009 gw | s |||| 0|eng d |
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|a 9783642015656
|9 978-3-642-01565-6
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|a 10.1007/978-3-642-01565-6
|2 doi
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|a HG1-9999
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|a BUS027000
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|a 332
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|a Rt̲hig, Andreas.
|e author.
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|a Microeconomic Risk Management and Macroeconomic Stability
|c by Andreas Rt̲hig.
|h [electronic resource] /
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|a Berlin, Heidelberg :
|b Springer Berlin Heidelberg,
|c 2009.
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|b online resource.
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|a text
|b txt
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|a text file
|b PDF
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|a Lecture Notes in Economics and Mathematical Systems,
|v 625
|x 0075-8442 ;
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|a Part I: Preliminary Explorations: Introduction -- Part II: A Micro View: Optimal Risk Management: Backwardation and Optimal Hedging Demand in an Expected Utility Hedging Model; Mean- versus Minimum-Variance Hedging -- Part III: A Macro View: Economic Stability: Corporate Risk Management in Balance-Sheet Triggered Currency Crisis; Arbitrage Pressure, Positive Feedback Speculation, Selective Hedging, and Economic Stability: An Empirical Analysis and Catastrophe Modelling -- Conclusions.
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|a While the determinants of firms<U+0019> optimal hedging strategies on the micro level are well understood, there is rarely any literature dealing with macroeconomic consequences of microeconomic risk management. This book is concerned with the impact of diverse hedging policies on macroeconomic stability. It addresses this issue by employing theoretical as well as empirical methods.
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|a Economics.
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|a International economics.
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|a Macroeconomics.
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|a Finance.
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|a Economics/Management Science.
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|a Financial Economics.
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|a International Economics.
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|a Macroeconomics/Monetary Economics.
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|a Finance/Investment/Banking.
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|a SpringerLink (Online service)
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|t Springer eBooks
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|i Printed edition:
|z 9783642015649
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|a Lecture Notes in Economics and Mathematical Systems,
|v 625
|x 0075-8442 ;
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|u https://ezaccess.library.uitm.edu.my/login?url=http://dx.doi.org/10.1007/978-3-642-01565-6
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|a ZDB-2-SBE
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|a Business and Economics (Springer-11643)
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