Risk Arbitrage in U.S. Financial Markets - A Case Study
por Narayanan, Supreena
Condición: Nuevo
47,61 €
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Entrega: entre martes, 24 de mayo de 2022 y jueves, 26 de mayo de 2022
Ventas y envío: Dodax
Descripción
This book analyses risk arbitrage in U.S. financial markets directed towards finance professionals and scholars.In particular, two research questions are pursued-(1) What are the effects of stock market, business conditions as well as the Merger and Acquisition Trend on risk arbitrage activities in the U.S (2) What is the current trend and effect of the U.S. financial regulatory mechanism on risk arbitrage? There has been a growing trend in US financial market regulatory mechanism to reduce systemic risk, eliminate legal uncertainty, control regulatory arbitrage and to have a closer look on derivatives trading which could be potentially used for fraud or manipulation. The current focus of the financial regulatory mechanism is to curb illegal trading in risk arbitrage activities through limits on trading volume and control of regulatory arbitrage opportunities which should continue into the future.
Colaboradores
Autor:
Narayanan, Supreena
Detalles de producto
Biografía del artista:
I am an alumnus of Anna University a world class Asian University with experience in business analysis, economics journalism and research and am presently a doctoral student in Economics with sound research experience in conferences (national and international)edited book chapters and journals, project work and academic experience.
Idioma:
Inglés
Número de páginas:
48
Tipo de medio:
Tapa blanda
Editorial:
LAP Lambert Academic Publishing
Datos base
Tipo de producto:
Libro de bolsillo
Dimensiones del paquete:
0.22 x 0.15 x 0.003 m; 0.118 kg
GTIN:
09783847339755
DUIN:
GHAAO8MHVBU
47,61 €