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quot;Risk managementquot; in securities markets refers to the oversight of portfolio managers and professional traders when they trade on behalf of investors in security markets. Monitoring of their trading performance, profit and loss, and risk-taking behavior, is measured by principals using...
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TABLE OF CONTENTS -- INTRODUCTION -- ACKNOWLEDGEMENTS -- CHAPTER I-BONDS AND THE DOLLAR -- THE DOLLAR -- OTHER MEASURES ARE FIXED -- IMPORTANT TO INVESTORS -- BANKS AND INSURANCE COMPANIES -- CHAPTER II-BONDS AND COMMON STOCKS -- NATURE OF SECURITY -- SAFE BONDS IMPLY SAFE STOCKS -- WHERE DOES...
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