Overview

Managing Financial Risk provides an up-to-date, comprehensive look at how derivatives can be used to manage risk & maximize value within today's highly volatile financial environment. The authors provide in-depth explanations of forwards, futures, swaps, options & "exotic" derivatives, showing how to use these instruments to hedge a firm against unexpected movements in foreign exchange rates, interest rates, & commodity prices. Invaluable to every corporate financial professional, Managing Financial Risk explains: How risk management can increase a firm's value; The variety of risk management products, including forwards, futures, swaps, options, & hybrid securities-as well as a practical approach to implementing these products in a firm; The essentials of financial engineering including how to build customized hedging instruments that accomplish an organization's specific risk management objectives.

ISBN-13

9780786304400

ISBN-10

0786304405

Weight

2.37 Pounds

Dimensions

7.40 x 1.21 x 9.30 In

List Price

$65.00

Format

Hardcover

Language

English

Pages

560 pages

Publisher

Irwin Professional Pub

Published On

1994-11-01



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Bonita
★★★★☆

Santa Clarita, CA, USA

Access codes and supplements are not guaranteed with used items. May be an ex-library book.
$43.36

 Free delivery by: 05 Apr 2026


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