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Managing Currency Risk: Using Financial Derivatives


Managing Currency Risk: Using Financial Derivatives

Hardback by Stephens, John J.

Managing Currency Risk: Using Financial Derivatives

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£72.25

ISBN:
9780471498865
Publication Date:
30 Jul 2001
Language:
English
Publisher:
John Wiley & Sons Inc
Pages:
272 pages
Format:
Hardback
For delivery:
Estimated despatch 3 - 5 May 2024
Managing Currency Risk: Using Financial Derivatives

Description

Control the number one cause of financial loss currency fluctuation With cross-border commerce now the global norm, companies must now face the greatest threat to their financial stability: financial losses due to currency fluctuations. Written by an international business and banking expert, Managing Currency Risk is an authoritative, accessible look at the variety of methods used to minimize currency risk. Written for the financial market novice, the book explains the nature and uses of a variety of financial instruments without complicated mathematical equations. Discussed in detail are all forms of currency derivatives, such as forward foreign exchange, OTC currency options, currency swaps, currency futures, and options which are illustrated with international examples and case studies. A practical guide on every aspect of currency risk, Managing Currency Risk also serves as a guide to navigating your firm through turbulent economic times.

Contents

Currency Risk, Currency Derivatives and the Management Function. Currency Risk Management Issues and Strategies. Currency Spot and Forwards. Currency Futures Contracts. Currency Swaps. Currency Options. Strategies with Currency Derivatives. Managing Specific Currency Risks. Index.

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