Senior Economist, BT Financial Group.
CURRENCY RISK: A FUNDS MANAGEMENT APPROACH
Article first published online: 13 APR 2010
2001 The Economic Society of Australia
Economic Papers: A journal of applied economics and policy
Volume 20, Issue S1, pages 82–91, December 2001
How to Cite
CASSIE, I. (2001), CURRENCY RISK: A FUNDS MANAGEMENT APPROACH. Economic Papers: A journal of applied economics and policy, 20: 82–91. doi: 10.1111/j.1759-3441.2001.tb00301.x
- Issue published online: 13 APR 2010
- Article first published online: 13 APR 2010
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