Managing risk in the foreign exchange, money and derivative markets

Auteur :

Langue : Anglais
Couverture de l'ouvrage Managing risk in the foreign exchange, money and derivative markets

Thème de Managing risk in the foreign exchange, money and...

Prix indicatif 50,52 €

Sous réserve de disponibilité chez l'éditeur.

Ajouter au panierAjouter au panier
Date de parution :
Ouvrage 300 p. · 24.8x16.3 cm · Relié
This guide to controlling risk when investing in the foreign exchange and money markets has particular emphasis on the use of derivatives and offers a unique perspective combining coverage of these three areas. It shows why the financial markets have changed, the use and different risks of the various instruments, risk versus return analysis, and offers protection against errors and fraud.
Introduction. Price Risk. Use of Derivatives Products. Credit Risk. Cross Border Risk. Futures Exchanges. Liquidity Risk. Balance Sheet Management. Organizational Structure. Miscellaneous Other Controls Behavior and Fraud.
Bankers, pension fund managers, investors.