Детали книги
Формат
Твердый переплет
Страницы
256
Язык
Английский
Опубликовано
Oct 1, 2000
Издатель
Take That
ISBN-10
1873668376
ISBN-13
9781873668375
Описание
Beginning with an overview of financial markets, basic contracts and the legal framework that regulates them, Terry Carroll presents an array of risk management strategies, analysing the pros and cons of each and showing how to apply them in practice. Areas covered include the regular derivatives such as options, swaps, caps and collars to the more regulated exchange contracts and the inter-bank market. The final section presents, step-by-step, modern tactical strategies you need to protect a business from - and to capitalize on - currency, commodity, and interest-rate fluctuations.
Жанры
Бизнес и экономика