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PROTECTING SHAREHOLDER VALUE: A GUIDE TO MANAGING FINANCIAL MARKET RISK
Written from the practitioner's point-of-view, this book provides a comprehensive treatment of financial market risk exposure & its impact on the value of the firm. Readers will find detailed, practical guidance on wide range of related subjects including the currency, eurocurrency, & bond markets, defining & quantifying risk exposures, hedging instruments & operational issues. George offers corporate finance professional: Tools to estimate risk exposure; Considerations in making hedging decisions & tactics for implementation; Guidelines for implementing a comprehensive exposure management program, including performance & evaluation standards.
10001960 | 658.155 GEO p | RLC MM (Rak Buku Umum) | Available |
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