Y C Lum (24 results)
Wives of American Citizens of Oriental Race: Hearings before the Committee on Immigration and Naturalization, House of Representatives, Seventieth Congress, First Session, on H. R. 6974
L. C. Dyer, Kenneth Y. Fung, Y. C. Hong, W. U. Lum, W. W. Husband
Published by Washington: GPO, 1928
Seller: Zubal-Books, Since 1961, Cleveland, OH, U.S.A.Zubal-Books, Since 1961
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Language: English
Published by Routledge, 2022
Series: Book 21 of 44 - Banking, Money and International Finance
- Softcover
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Language: English
Published by Taylor & Francis Ltd, 2022
Series: Book 21 of 44 - Banking, Money and International Finance
- Softcover
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Language: English
Published by Routledge, 2022
Series: Book 21 of 44 - Banking, Money and International Finance
- Softcover
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Language: English
Published by Taylor and Francis Ltd, GB, 2022
Series: Book 21 of 44 - Banking, Money and International Finance
- Softcover
Seller: Rarewaves.com USA, London, LONDO, United KingdomRarewaves.com USA
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Paperback. Condition: New. This book provides a technical and specialised discussion of contemporary and emerging issues in foreign exchange and financial markets by addressing the issues of risk management and theory and hypothesis development, which have general implications for finance theory and foreign exchange market management. It offers an in-depth, comprehensive analysis of the issues concerning the volatility of exchange rates.The book has three main objectives. First, it applies the integrated study of exchange rate volatility in terms of depth and breadth. Second, it applies the integrated study of exchange rate volatility in Malaysia, as a case study of a developing country. Malaysia had imposed capital control measures in the past and has now liberalised its exchange rate market and will continue to liberalise it further in the long run. Hence, the need to understand exchange rate volatility measurement and management will be even more important in the future. Third, the book highlights new conditional volatility models for a developing country, such as Malaysia, and develops advanced econometric models which have produced results for sound risk management strategies and for achieving risk management in the financial market and the economy. Additionally, the authors recommend risk management themes which may be of relevance to other developing countries.This work can be used as a reference book by fund managers, financial market analysts, researchers, academics, practitioners, policy makers and postgraduate students in the areas of finance, accounting, business and financial economics. It can also be a supplementary text for Ph.D. and Masters' students in these areas.…

Language: English
Published by Routledge, 2022
Series: Book 21 of 44 - Banking, Money and International Finance
- Softcover
Seller: Books Puddle, Woodside, NY, U.S.A.Books Puddle
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Condition: New. 1st edition NO-PA16APR2015-KAP.

Language: English
Published by Routledge, 2022
Series: Book 21 of 44 - Banking, Money and International Finance
- Softcover
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Language: English
Published by Routledge 2022-04-29, 2022
Series: Book 21 of 44 - Banking, Money and International Finance
- Softcover
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Language: English
Published by Routledge, 2022
Series: Book 21 of 44 - Banking, Money and International Finance
- Softcover
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Language: English
Published by Routledge, 2022
Series: Book 21 of 44 - Banking, Money and International Finance
- Softcover
Seller: Ria Christie Collections, Uxbridge, United KingdomRia Christie Collections
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Condition: New. In English.

Language: English
Published by Routledge, 2022
Series: Book 21 of 44 - Banking, Money and International Finance
- Softcover
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More imagesLanguage: English
Published by Routledge, 2022
Series: Book 21 of 44 - Banking, Money and International Finance
- Softcover
Seller: preigu, Osnabrück, Germanypreigu
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£ 51.26
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Taschenbuch. Condition: Neu. Management of Foreign Exchange Risk | Evidence from Developing Economies | Y. C. Lum (u. a.) | Taschenbuch | Einband - flex.(Paperback) | Englisch | 2022 | Routledge | EAN 9780367542597 | Verantwortliche Person für die EU: Taylor & Francis Verlag GmbH, Kaufingerstr. 24, 80331 München, gpsr[at]taylorandfrancis[dot]com | Anbieter: preigu. …

Language: English
Published by Taylor and Francis Ltd, GB, 2022
Series: Book 21 of 44 - Banking, Money and International Finance
- Softcover
Seller: Rarewaves.com UK, London, United KingdomRarewaves.com UK
Contact seller5-star sellerCondition: New
£ 61.82
£ 65.00 shippingShips from United Kingdom to U.S.A.Quantity: Over 20 available
Paperback. Condition: New. This book provides a technical and specialised discussion of contemporary and emerging issues in foreign exchange and financial markets by addressing the issues of risk management and theory and hypothesis development, which have general implications for finance theory and foreign exchange market management. It offers an in-depth, comprehensive analysis of the issues concerning the volatility of exchange rates.The book has three main objectives. First, it applies the integrated study of exchange rate volatility in terms of depth and breadth. Second, it applies the integrated study of exchange rate volatility in Malaysia, as a case study of a developing country. Malaysia had imposed capital control measures in the past and has now liberalised its exchange rate market and will continue to liberalise it further in the long run. Hence, the need to understand exchange rate volatility measurement and management will be even more important in the future. Third, the book highlights new conditional volatility models for a developing country, such as Malaysia, and develops advanced econometric models which have produced results for sound risk management strategies and for achieving risk management in the financial market and the economy. Additionally, the authors recommend risk management themes which may be of relevance to other developing countries.This work can be used as a reference book by fund managers, financial market analysts, researchers, academics, practitioners, policy makers and postgraduate students in the areas of finance, accounting, business and financial economics. It can also be a supplementary text for Ph.D. and Masters' students in these areas.…

Language: English
Published by Routledge, 2020
Series: Book 21 of 44 - Banking, Money and International Finance
- Hardcover
Seller: Majestic Books, Hounslow, United KingdomMajestic Books
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Language: English
Published by Routledge, 2020
Series: Book 21 of 44 - Banking, Money and International Finance
- Hardcover
Seller: Books Puddle, Woodside, NY, U.S.A.Books Puddle
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Language: English
Published by Routledge, 2020
Series: Book 21 of 44 - Banking, Money and International Finance
- Hardcover
Seller: Biblios, frankfurt am main, HESSE, GermanyBiblios
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£ 220.20
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Language: English
Published by Taylor & Francis, 2020
Series: Book 21 of 44 - Banking, Money and International Finance
- Hardcover
Seller: moluna, Greven, Germanymoluna
Contact seller5-star sellerCondition: New
£ 184.18
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Condition: New. Yew C. Lum is a Senior Lecturer in Finance and Coordinator of Faculty and Student Services Committee at Xiamen University Malaysia.Sardar M. N. Islam is currently a Professor of Economic Studies, and has also been a Professor of Business, Economic.

Language: English
Published by Taylor & Francis Ltd Sep 2020, 2020
Series: Book 21 of 44 - Banking, Money and International Finance
- Hardcover
Seller: AHA-BUCH GmbH, Einbeck, GermanyAHA-BUCH GmbH
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£ 231.13
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Buch. Condition: Neu. Neuware.

Language: English
Published by Taylor and Francis, 2022
Series: Book 21 of 44 - Banking, Money and International Finance
- Softcover
- Print on Demand
Seller: PBShop.store US, Wood Dale, IL, U.S.A.PBShop.store US
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PAP. Condition: New. New Book. Shipped from UK. THIS BOOK IS PRINTED ON DEMAND. Established seller since 2000.

Language: English
Published by Taylor and Francis, 2022
Series: Book 21 of 44 - Banking, Money and International Finance
- Softcover
- Print on Demand
Seller: PBShop.store UK, Fairford, GLOS, United KingdomPBShop.store UK
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PAP. Condition: New. New Book. Delivered from our UK warehouse in 4 to 14 business days. THIS BOOK IS PRINTED ON DEMAND. Established seller since 2000.

Language: English
Published by Taylor & Francis Ltd, 2022
Series: Book 21 of 44 - Banking, Money and International Finance
- Softcover
- Print on Demand
Seller: THE SAINT BOOKSTORE, Southport, United KingdomTHE SAINT BOOKSTORE
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Paperback / softback. Condition: New. This item is printed on demand. New copy - Usually dispatched within 5-9 working days.

Language: English
Published by Routledge Apr 2022, 2022
Series: Book 21 of 44 - Banking, Money and International Finance
- Softcover
- Print on Demand
Seller: BuchWeltWeit Ludwig Meier e.K., Bergisch Gladbach, GermanyBuchWeltWeit Ludwig Meier e.K.
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£ 51.21
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Taschenbuch. Condition: Neu. This item is printed on demand - it takes 3-4 days longer - Neuware -This book provides a technical and specialised discussion of contemporary and emerging issues in foreign exchange and financial markets by addressing the issues of risk management and theory and hypothesis development, which have general implications for finance theory and foreign exchange market management. It offers an in-depth, comprehensive analysis of the issues concerning the volatility of exchange rates.The book has three main objectives. First, it applies the integrated study of exchange rate volatility in terms of depth and breadth. Second, it applies the integrated study of exchange rate volatility in Malaysia, as a case study of a developing country. Malaysia had imposed capital control measures in the past and has now liberalised its exchange rate market and will continue to liberalise it further in the long run. Hence, the need to understand exchange rate volatility measurement and management will be even more important in the future. Third, the book highlights new conditional volatility models for a developing country, such as Malaysia, and develops advanced econometric models which have produced results for sound risk management strategies and for achieving risk management in the financial market and the economy. Additionally, the authors recommend risk management themes which may be of relevance to other developing countries.This work can be used as a reference book by fund managers, financial market analysts, researchers, academics, practitioners, policy makers and postgraduate students in the areas of finance, accounting, business and financial economics. It can also be a supplementary text for Ph.D. and Masters' students in these areas. 292 pp. Englisch.…

Language: English
Published by Taylor & Francis, 2022
Series: Book 21 of 44 - Banking, Money and International Finance
- Softcover
- Print on Demand
Seller: moluna, Greven, Germanymoluna
Contact seller5-star sellerCondition: New
£ 44.02
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Condition: New. Dieser Artikel ist ein Print on Demand Artikel und wird nach Ihrer Bestellung fuer Sie gedruckt. Yew C. Lum is a Senior Lecturer in Finance and Coordinator of Faculty and Student Services Committee at Xiamen University Malaysia.Sardar M. N. Islam is currently a Professor of Economic Studies, and has also been a Professor of Business, Economic.…

Language: English
Published by Routledge, 2022
Series: Book 21 of 44 - Banking, Money and International Finance
- Softcover
- Print on Demand
Seller: AHA-BUCH GmbH, Einbeck, GermanyAHA-BUCH GmbH
Contact seller5-star sellerCondition: New
£ 58.02
£ 29.75 shippingShips from Germany to U.S.A.Quantity: 1 available
Taschenbuch. Condition: Neu. nach der Bestellung gedruckt Neuware - Printed after ordering - This book provides a technical and specialised discussion of contemporary and emerging issues in foreign exchange and financial markets by addressing the issues of risk management and theory and hypothesis development, which have general implications for finance theory and foreign exchange market management. It offers an in-depth, comprehensive analysis of the issues concerning the volatility of exchange rates.The book has three main objectives. First, it applies the integrated study of exchange rate volatility in terms of depth and breadth. Second, it applies the integrated study of exchange rate volatility in Malaysia, as a case study of a developing country. Malaysia had imposed capital control measures in the past and has now liberalised its exchange rate market and will continue to liberalise it further in the long run. Hence, the need to understand exchange rate volatility measurement and management will be even more important in the future. Third, the book highlights new conditional volatility models for a developing country, such as Malaysia, and develops advanced econometric models which have produced results for sound risk management strategies and for achieving risk management in the financial market and the economy. Additionally, the authors recommend risk management themes which may be of relevance to other developing countries.This work can be used as a reference book by fund managers, financial market analysts, researchers, academics, practitioners, policy makers and postgraduate students in the areas of finance, accounting, business and financial economics. It can also be a supplementary text for Ph.D. and Masters' students in these areas.…