Managing Risk in Foreign Exchange, Money, and Derivative Markets

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Managing Risk in Foreign Exchange, Money, and Derivative Markets

By: Heinz Riehl

Normal price: 44.99
Our price: 38.24 + postage
Bargain: save £6.75 !

Product code: 9990
ISBN: 0070526737
300 pages
Format: Hb
Published by: McGraw-Hill Professional, 1998, 1st edition
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Description of Managing Risk in Foreign Exchange, Money, and Derivative Markets
Cutting through unnecessary detail and complicated technicalities, 'Managing Risk in the Foreign Exchange, Money, and Derivative Markets,' offers a no-nonsense approach on how to propel your success in the international trading market without engaging in unacceptable and often unknown risks. Clear, to the point, and packed with many real-life examples, this critical business tool gets to the information quickly and easily with the same approach Heinz Riehl uses so successfully in his seminars around the world.

In 'Managing Risk in the Foreign Exchange, Money, and Derivative Markets,' Riehl - a master of managing risks in treasury and derivatives and an internationally known expert who also pioneered many of the techniques described here - combines down-to-earth coverage of price risk, credit risk, and liquidity risk with a practical focus on risk versus return analysis. 'Just making money is not good enough anymore!' he says.

Each chapter contains pertinent information, time-tested advice, relevant charts and graphs, and examples of market scenarios. Novices and professionals alike will learn how to:

- Recognise risk and assess its size

- Manage and control price, credit, and liquidity risks

- Exploit opportunity

- Decipher derivatives

- Judge the advantages and dangers of new financial products

- Evaluate the impact of trades on balance sheet and capital ratio

- Protect against human error and fraud

Managing Risk in Foreign Exchange, Money, and Derivative Markets - Chapter headings
1. Strategy of a Modern Bank
2. Understanding the Business, Recognising Price Risk
3. Measuring Price Risk Positions
4. Assessing the Size of Price Risk
5. Volatility Discovery
6. Controlling Price Risk
7. The Use of Derivative Products
8. Lending and Settlement Credit Risk
9. Presettlement Credit Risk
10. Country Risk
11. Futures
12. Managing Liquidity Risk
13. Balance Sheet Management
14. Organisational Structure
15. Internal Controls: Protecting against Errors and Fraud

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