| 000 | 01741cam a2200325 i 4500 | ||
|---|---|---|---|
| 001 | 17508299 | ||
| 003 | MWNLS | ||
| 005 | 20160610144629.0 | ||
| 008 | 121025s2013 njua 001 0 eng | ||
| 010 | _a 2012039741 | ||
| 020 | _a9781118409336 (hbk.) | ||
| 020 | _z9781118410752 (ebk.) | ||
| 020 | _z9781118410769 (ebk.) | ||
| 020 | _z9781118410806 (ebk.) | ||
| 040 |
_aDLC _beng _cDLC _erda _dDLC |
||
| 042 | _apcc | ||
| 050 | 0 | 0 |
_aHG179 _b.C68197 2013 |
| 082 | 0 | 0 |
_a332.024 _223 |
| 100 | 1 | _aCorcoran, Clive M. | |
| 245 | 1 | 0 |
_aSystemic liquidity risk and bipolar markets : _bwealth management in todays macro risk on/risk off financial environment / _cClive Corcoran. |
| 300 |
_axi, 351 pages : _billustration ; _c26 cm |
||
| 500 | _aIncludes index. | ||
| 505 | 0 | _aIntroduction -- Cross-sectional asset correlations -- The changing character of financial markets -- The flash crash -- Detecting mini bubbles with the VPIN metric -- Foreign exchange and the carry trade -- The enigmatic performance of the Japanese yen -- The Aussie/yen connection 1 -- Precursors to illiquidity -- Mainstream financial economics groping towards a new paradigm -- Could a eurozone breakup trigger another systemic crisis? -- China, commodities, and the global growth narrative -- Drawdowns and tail risk management -- Liquidity and maturity transformation -- Emotional finance and interval confidence -- Adjusting to more correlated financial markets -- Appendix -- Index. | |
| 650 | 0 |
_aFinance, Personal. _9804 |
|
| 650 | 0 | _aInvestments. | |
| 650 | 0 | _aPortfolio management. | |
| 906 |
_a7 _bcbc _corignew _d1 _eecip _f20 _gy-gencatlg |
||
| 942 |
_2ddc _cBK |
||
| 999 |
_c22609 _d22609 |
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