Buch, Englisch, 192 Seiten, Format (B × H): 152 mm x 229 mm, Gewicht: 431 g
Buch, Englisch, 192 Seiten, Format (B × H): 152 mm x 229 mm, Gewicht: 431 g
Reihe: Glenlake Series in Risk Management
ISBN: 978-1-57958-298-2
Verlag: Taylor & Francis Ltd (Sales)
The Currency Risk Management series offers readers, researchers, and financial professional a time-tested training tool for understanding and working in the increasingly complex currency markets. This series breaks new ground in simplicity, clarity, and ease of application in risk management practice.
Autoren/Hrsg.
Fachgebiete
Weitere Infos & Material
Chapter 1 Currency Risk; Chapter 2 The Hedging Decision; Chapter 3 Transaction-based Structural Hedging; Chapter 4 Strategic Struetural Hedging; Chapter 5 Hedging with Forward Contracts; Chapter 6 Currency Options; Chapter 7 Tender-to-contract Cover; Chapter 8 Currency Loans and Deposits; Chapter 9 Currency Futures; Chapter 10 Currency Swaps; Chapter 11 Hedging and Speculation; Chapter 12 Comparing Hedging Methods; Chapter 13 Accounting Implications; Chapter 14 US Stock Markets; Chapter 15 International Stock Markets and Trading Systems;