Books on complex hedging instruments are often more confusing than the instruments themselves
Hedging Instruments & Risk Management brings clarity to the topic, giving money managers the straightforward knowledge they need to employ hedging tools and techniques in four key markets―equity, currency, fixed income, and mortgage.
Using real-world data and examples, this high-level book shows practitioners how to develop a common set of mathematical and statistical tools for hedging in various markets and then outlines several hedging strategies with the historical performance of each.
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McGraw-Hill authors represent the leading experts in their fields and are dedicated to improving the lives, careers, and interests of readers worldwide
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Destinations, frais et délaisVendeur : Mr Pickwick's Fine Old Books, Katoomba, NSW, Australie
Hardcover (Printed Boards). Etat : Very Good. Etat de la jaquette : Very Good. First Edition. How to use derivatives to control financial risk in any market. Size: Octavo (standard book size). 362 pages. Text body is clean, and free from previous owner annotation, underlining and highlighting. Binding is tight, covers and spine fully intact. No foxing in this copy. Dust Jacket is in very good condition, without tears or chips or other damage. Edges very slightly spotted or marked. Quantity Available: 1. Shipped Weight: 1-2 kilos. Category: Business, Finance & Marketing; ISBN: 0071443126. ISBN/EAN: 9780071443128. All our pictures shown here are of the actual item, not stock photos. Inventory No: 33455: 315 This book is extra heavy, and may involve extra shipping charges to some countries. For further info on this title, click on the "Contact Seller" button within this listing. We will try to reply within 24 hours. Otherwise you can order right now (inclusive of shipping options) from the "Add to Basket" button to the right. N° de réf. du vendeur 33455
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