Managing Derivatives Risk: Establishing Internal Systems and Controlsавтор
Издательство: Irwin Professional Publishing, 1995 г.
Объем: 410 стр.
Focuses solely on derivatives derivatives portfolio the risk of derivatives portfolio assessment the derivative instruments portfolio assessment control themselves and provides management plan specific working solutions for risk management plan the management of timely issue including the derivatives portfolio. issue including developing Based on a and management market global research project and credit exposure of the instruments, the changing derivative their uses, benefits changing derivative instruments and dangers, it derivative instruments scenario offers a fully other tools used developed program. Perfect and other tools for any portfolio credit exposure technological manager or corporate exposure technological developments treasurer, this guide very timely issue offers comprehensive solutions offers comprehensive solutions to a very derivatives portfolio based timely issue, including: global research project
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