Description |
xix, 380 pages : illustrations ; 24 cm |
Series |
The Wiley finance series |
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Wiley finance series.
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Contents |
Chapter 1. Global Markets: Transactions and Risks -- Chapter 2. Balance of Payments Exposure Management -- Chapter 3. Foreign Exchange Rate Dynamics: Managing Exposure -- Chapter 4. Application of Options and Futures for Managing Exposure -- Chapter 5. Principles of Futures: Pricing and Applications -- Chapter 6. Interest Rate Futures: Pricing and Applications -- Chapter 7. Swaps -- Chapter 8. Translation, Transaction, and Operating Exposure -- Chapter 9. Debt, Equity, and Other Synthetic Structures -- Chapter 10. Options on Futures -- Chapter 11. Credit Derivatives: Pricing and Applications -- Chapter 12. Credit and Other Exotic Derivatives |
Summary |
"Managing Global Financial and Foreign Exchange Rate Risk offers a thorough treatment of price, foreign currency, and interest rate risk management practices of multinational corporations in a dynamic global economy. It lays out the pros and cons of various hedging instruments, as well as the economic cost benefit analysis of alternative hedging vehicles. Written in a detailed yet user-friendly manner, this resource provides treasurers and other financial managers with the tools they need to manage their various exposures to credit, price, and foreign exchange risk."--BOOK JACKET |
Bibliography |
Includes bibliographical references (pages 365-372) and index |
Subject |
Foreign exchange.
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Foreign exchange rates.
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Risk management.
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Foreign exchange -- United States.
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Foreign exchange rates -- United States.
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Risk management -- United States.
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LC no. |
2003015159 |
ISBN |
0471281158 acid-free paper |
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