Risk Management with Derivatives

Specificaties
Paperback, blz. | Engels
Palgrave Macmillan UK | e druk, 1992
ISBN13: 9780333559246
Rubricering
Palgrave Macmillan UK e druk, 1992 9780333559246
Verwachte levertijd ongeveer 8 werkdagen

Samenvatting

Risk management of interest currency and rate and other mutable issues is a fundamental part of financial management. An ever increasing part of this is manipulation by derivative product, by swaps, futures and options, caps, swaptions and a myriad of other exotic structures available. Risk Management with Derivatives assesses their individual function and analyses the part they play in risk management.

Specificaties

ISBN13:9780333559246
Taal:Engels
Bindwijze:paperback
Uitgever:Palgrave Macmillan UK

Inhoudsopgave

Selected Contents: Identifying Risk - The Major Derivative Products - Futures and Options - Swaps and Swaptions - Caps, Collars, Captions - Fixed Interest Portfolio Management - Equity Portfolio Management - The Future of Risk Management

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        Risk Management with Derivatives