![The Investment Behaviour of British Life Insurance Companies](/assets/artwork/1x1-42817eea7ade52607a760cbee00d1495.gif)
![The Investment Behaviour of British Life Insurance Companies](/assets/artwork/1x1-42817eea7ade52607a760cbee00d1495.gif)
![](/assets/artwork/1x1-42817eea7ade52607a760cbee00d1495.gif)
![](/assets/artwork/1x1-42817eea7ade52607a760cbee00d1495.gif)
The Investment Behaviour of British Life Insurance Companies
-
- 37,99 €
-
- 37,99 €
Beschreibung des Verlags
Originally published in 1979, The Investment Behaviour of British Life Insurance Companies provides a critical analysis of the investment policy of the life insurance industry for the period of 1962-76, and attempts to construct an econometric model of the investment behaviour. It looks at the portfolio composition of life funds and their position in the markets for securities in terms of their gross purchases and sales and net acquisitions. It also considers the principles on which life offices appear to operate the principles on which life offices appear to operate in respect of investing their ‘reserves’ to meet future contingent liabilities. This book will appeal to those working in the field of economic and business.
Mehr ähnliche Bücher
Handbook of the Economics of Finance SET:Volumes 2A & 2B (Enhanced Edition)
2013
Quantitative Corporate Finance
2022
Finance
2002
Growing Presence of Real Options in Global Financial Markets
2017
Advances in Pacific Basin Business, Economics and Finance
2018
Handbook of Asset and Liability Management (Enhanced Edition)
2007