The Financial Risk Manual: A Systematic Guide to Identifying & Managing Foreign Exchange Risk: A Systematic Guide to Identifying and Managing Financial Risk (Financial Times Series)
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Bester Preis: € 0,80 (vom 26.11.2016)1
The Financial Risk Manual
EN NW
ISBN: 9780273624189 bzw. 0273624180, in Englisch, Pearson Education Limited, neu.
Lieferung aus: Vereinigtes Königreich Großbritannien und Nordirland, in-stock.
Are all reasonable steps being taken to identify the risks to your business? How can such risks be reduced, or even eliminated? Effective risk management requires thinking about the improbable. In the world of business, decisions are made every day. With these decisions come varying levels of risk. You can never be prepared for every eventuality but you can take precautions against the unexpected, particularly if you have some idea of what the unexpected might be. The Financial Risk Manual enables you to understand the risks being faced by your organization in complex, financial areas. It systematically identifies and assesses risk and covers all the major financial functions, instruments and transactions. For every principal risk this definitive guide discusses: - the financial context or transaction - the nature and use of each relevant product - the benefits to both parties in any transaction - the risks avoided by both parties - actions and key terms. For ease of use, this book is split into six defined areas: * Business risk * Counterparty risk * Funding risk * Derivatives * Interest rate risk * Currency risk. The Financial Risk Manual will enable you to approach financial transactions with confidence and to minimize your exposure to financial risks.
Are all reasonable steps being taken to identify the risks to your business? How can such risks be reduced, or even eliminated? Effective risk management requires thinking about the improbable. In the world of business, decisions are made every day. With these decisions come varying levels of risk. You can never be prepared for every eventuality but you can take precautions against the unexpected, particularly if you have some idea of what the unexpected might be. The Financial Risk Manual enables you to understand the risks being faced by your organization in complex, financial areas. It systematically identifies and assesses risk and covers all the major financial functions, instruments and transactions. For every principal risk this definitive guide discusses: - the financial context or transaction - the nature and use of each relevant product - the benefits to both parties in any transaction - the risks avoided by both parties - actions and key terms. For ease of use, this book is split into six defined areas: * Business risk * Counterparty risk * Funding risk * Derivatives * Interest rate risk * Currency risk. The Financial Risk Manual will enable you to approach financial transactions with confidence and to minimize your exposure to financial risks.
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The Financial Risk Manual: A Systematic Guide to Identifying and Managing Financial Risk (Financial Times Series)
EN PB US
ISBN: 9780273624189 bzw. 0273624180, in Englisch, Financial Times/Prentice Hall, Taschenbuch, gebraucht.
Lieferung aus: Vereinigte Staaten von Amerika, Versandkosten nach: USA.
Von Händler/Antiquariat, Discover Books.
Financial Times/Prentice Hall. Paperback. GOOD. Gently used may contain ex-library markings, possibly has some light highlighting, textual notations, and or underlining. Text is still easily readable.
Von Händler/Antiquariat, Discover Books.
Financial Times/Prentice Hall. Paperback. GOOD. Gently used may contain ex-library markings, possibly has some light highlighting, textual notations, and or underlining. Text is still easily readable.
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The Financial Risk Manual. A Systematic Guide to Identifying and Managing Financial Risk (1997)
EN PB US FE
ISBN: 9780273624189 bzw. 0273624180, in Englisch, London, FT Pitman Publ., 1997. Taschenbuch, gebraucht, Erstausgabe.
Von Händler/Antiquariat, Antiquariat Buchseite [561087], Wien, WIEN, Austria.
Die Beschreibung dieses Angebotes ist von geringer Qualität oder in einer Fremdsprache. Trotzdem anzeigen
Die Beschreibung dieses Angebotes ist von geringer Qualität oder in einer Fremdsprache. Trotzdem anzeigen
4
The Financial Risk Manual: A Systematic Guide to Identifying and Managing Financial Risk (Financial Times Series) (1997)
EN PB US
ISBN: 9780273624189 bzw. 0273624180, in Englisch, 320 Seiten, Financial Times/Prentice Hall, Taschenbuch, gebraucht.
Lieferung aus: Vereinigte Staaten von Amerika, Usually ships in 1-2 business days.
Von Händler/Antiquariat, Cheap_Books_Fast.
Die Beschreibung dieses Angebotes ist von geringer Qualität oder in einer Fremdsprache. Trotzdem anzeigen
Von Händler/Antiquariat, Cheap_Books_Fast.
Die Beschreibung dieses Angebotes ist von geringer Qualität oder in einer Fremdsprache. Trotzdem anzeigen
5
Symbolbild
The Financial Risk Manual: A Systematic Guide to Identifying & Managing Foreign Exchange Risk: A Systematic Guide to Identifying and Managing Financial Risk (Financial Times Series)
EN PB US
ISBN: 9780273624189 bzw. 0273624180, in Englisch, Pitman, Taschenbuch, gebraucht.
Lieferung aus: Vereinigtes Königreich Großbritannien und Nordirland, Versandkosten nach: USA.
Von Händler/Antiquariat, World of Books Ltd.
Paperback. Good.
Von Händler/Antiquariat, World of Books Ltd.
Paperback. Good.
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