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Managing Financial Risk: A Guide to Derivative Products, Financial Engineering, and Value Maximization

Smithson, Charles W.; Smith, Clifford W., Jr.; Wilford, D. Skyes

Verlag: Irwin Professional Pub, 1995
ISBN 10: 0786304405 / ISBN 13: 9780786304400
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Titel: Managing Financial Risk: A Guide to ...

Verlag: Irwin Professional Pub

Erscheinungsdatum: 1995

Einband: Hardcover

Zustand: New


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Inhaltsangabe: As worldwide markets evolve, companies face a varied continuum of financial risks. The authors provide a system for evaluating these risks and offer techniques and strategies for maximizing the value of a firm in the face of risk. Presents an in-depth evaluation of various risk management products, including forwards, futures, swaps, options, and hybrid securities--as well as a "building block" approach to implementing these products in your firm.

Klappentext: The established leading authority in Risk Management--completely updated. For years, financial executives and risk managers have recognized Charles Smithson's Managing Financial Risk as the authoritative source for comprehensive coverage of risk management products. While other books may touch on specific strategies and products, Managing Financial Risk stands alone in exploring derivaties and risk management from all angles, providing trusted guidance to both the sell and the buy sides. Managing Financial Risk, 3rd Edition, updates and expands this indispensable resource. Combining a comprehensive explanation of forwards, futures, swaps, options, and hybrid securities with the latest technologies for effectively managing financial risk, this authoritative and insightful edition now includes: a look at recent innovations in the risk management marketplace, including electricity derivatives and featuring credit derivatives--the newest of the risk management products; explanation of implementing a risk management program; new coverage on the effective use of risk management by institutional investors and financial institutions; an expanded discussion of the way a dealer measures and manages the credit and market risk associated with derivatives--a discussion that includes a clear expositon of "value-at-risk."

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