Chief Investment Officer, BT Funds Management.
MANAGING RISK IN THE FUNDS MANAGEMENT SECTOR*
Article first published online: 13 APR 2010
1999 The Economic Society of Australia
Economic Papers: A journal of applied economics and policy
Volume 18, Issue 4, pages 54–67, December 1999
How to Cite
MORONY, A. (1999), MANAGING RISK IN THE FUNDS MANAGEMENT SECTOR. Economic Papers: A journal of applied economics and policy, 18: 54–67. doi: 10.1111/j.1759-3441.1999.tb01162.x
This paper is a revised version of an earlier paper presented at an APRA Conference. See Cassidy, C. (ed.) (1999), Risk and Capital Management, Proceedings of a Conference at H.C. Coombs Centre for Financial Studies 2–3 November 1998, Australian Prudential Regulation Authority.
- Issue published online: 13 APR 2010
- Article first published online: 13 APR 2010