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Risk Management and Derivatives

Rene Stulz

  • Bindwijze: Hardcover
  • Taal: en
  • Categorie: Economie & FinanciĆ«n
  • ISBN: 9780538861014
1st Edition
Inhoud
Taal:en
Bindwijze:Hardcover
Oorspronkelijke releasedatum:27 november 2002
Aantal pagina's:792
Illustraties:Nee
Betrokkenen
Hoofdauteur:Rene Stulz
Tweede Auteur:Rene Stulz
Co Auteur:Stulz
Co Auteur:Stulz
Overige kenmerken
Editie:New edition
Product breedte:191 mm
Product hoogte:32 mm
Product lengte:229 mm
Studieboek:Ja
Verpakking breedte:206 mm
Verpakking hoogte:34 mm
Verpakking lengte:256 mm
Verpakkingsgewicht:1235 g
Overige kenmerken
Editie:New edition
Product breedte:191 mm
Product hoogte:32 mm
Product lengte:229 mm
Studieboek:Ja
Verpakking breedte:206 mm
Verpakking hoogte:34 mm
Verpakking lengte:256 mm
Verpakkingsgewicht:1235 g

Samenvatting

In direct contrast to most existing derivatives books which emphasize issues related to the pricing and hedging of derivatives and are intended more to train traders, not managers, this groundbreaking book is designed for those who want to teach managers how to use derivatives to maximize firm value through risk management. This book presents the crucial tools necessary for executives and future derivatives players to effectively hedge with derivatives in order to protect firms from losses. Coverage includes all the pricing tools that are necessary for those who seriously intend to use derivatives as well as the necessary tools to evaluate how to use a particular derivative to reduce risk. Rather than focusing on an array of possible derivatives, the book is much more concerned about teaching a general approach to use derivatives so that students know how to use existing derivatives for risk management as well as derivatives that do not yet exist.