Search Books
Principles of Agricultural … The Financial Times Guide t…

Hedging Instruments and Risk Management: How to Use Derivatives to Control Financial Risk in Any Market (McGraw-Hill Library of Investment and Finance)

Author Patrick Cusatis, Martin Thomas
Publisher McGraw-Hill Education
Category Business & Economics
📄 Viewing lite version Full site ›
🌎 Shop on Amazon — choose country
75.00 USD
🛒 Buy New on Amazon 🇺🇸 🏷 Buy Used — $26.25
Share:
Book Details
ISBN / ASIN0071443126
ISBN-139780071443128
Sales Rank1,766,885
MarketplaceUnited States 🇺🇸

Description

Books on complex hedging instruments are often more confusing than the instruments themselves. Hedging Instruments & Risk Management brings clarity to the topic, giving money managers the straightforward knowledge they need to employ hedging tools and techniques in four key markets―equity, currency, fixed income, and mortgage. Using real-world data and examples, this high-level book shows practitioners how to develop a common set of mathematical and statistical tools for hedging in various markets and then outlines several hedging strategies with the historical performance of each.

Business Cycles and Forecasting
View
Development Economics: Its Position in the Present Sta…
View
Cost Systems Design
View
So You Want to Dance on Broadway
View
The Blueprint: Reviving Innovation, Rediscovering Risk…
View
Managing IT Outsourcing, Second Edition
View
Education and the Creation of Capital in the Early Ame…
View
Global Corruption Report 2005: Special Focus: Corrupti…
View
More Tales for Trainers: Using Stories and Metaphors t…
View