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Posts Tagged ‘Risk’
Market Risk Analysis: Pricing, Hedging and Trading Financial Instruments (v. 3)
Written by leading market risk academic, Professor Carol Alexander, Pricing, Hedging and Trading Financial Instruments forms part three of the Market Risk Analysis four volume set. This book is an in-depth, practical and accessible guide to the models that are used for pricing and the strategies that are used for hedging financial instruments, and to the markets in which they trade. It provides a comprehensive, rigorous and accessible introduction to bonds, swaps, futures and fo (more…)
Continue Reading »Treasury Operations and the Foreign Exchange Challenge: A Guide to Risk Management Strategies for the New World Markets (Wiley Finance) (Hardcover)
This guide to the financial risks and opportunities to be found in foreign exchange markets includes insights into the new global and electronic networks. Topics discussed include dealing in various currencies, risk management, market data filtering and pattern recognition.
From the Publisher
Presents a complete introduction to modern exchange markets and what to know in order to operate them effectively using trading systems, computer-based models and othe (more…)
Continue Reading »Management and Control of Foreign Exchange Risk (Paperback)
The book examines the theory and practice of foreign exchange risk management. It offers a rigorous set of operational guidelines within which foreign exchange risk can be:Consistently hedged both across different risk situations and over time; Tightly integrated with other types of financial risk such as interest rate and commodity price risk; and Managed consistently with the firm’s overall strategic plans so that the technical, financial engineering dimensions of r (more…)
Continue Reading »Financial Derivatives: Pricing and Risk Management (Robert W. Kolb Series) (Hardcover)
Essential insights on the various aspects of financial derivatives If you want to understand derivatives without getting bogged down by the mathematics surrounding their pricing and valuation, Financial Derivatives is the book for you. Through in-depth insights gleaned from years of financial experience, Robert Kolb and James Overdahl clearly explain what derivatives are and how you can prudently use them within the context of your underlying business activities. Financi (more…)
Continue Reading »Traders Risk (Kindle Edition)
No description for this product could be found, but have a look over at Amazon for reviews and other information.
Continue Reading »Managing Currency Risk: Using Financial Derivatives (Institute of Internal Auditors Risk Management Series) (Kindle Edition)
Currency fluctuations cause more financial losses to business than any other single factor. Exchange rates between one currency and another can change dramatically in a short period of time, leaving the unprepared business exposed to potentially crippling losses. Every business that traders internationally or relies on imported goods is exposed to the effects of currency fluctuations. The efficient management of this risk is essential for the survival of a company and any busine (more…)
Continue Reading »Managing Currency Risk: Using Financial Derivatives (Hardcover)
Currency fluctuations cause more financial losses to business than any other single factor. Exchange rates between one currency and another can change dramatically in a short period of time, leaving the unprepared business exposed to potentially crippling losses. Every business that traders internationally or relies on imported goods is exposed to the effects of currency fluctuations. The efficient management of this risk is essential for the survival of a company and any busine (more…)
Continue Reading »Market Risk Analysis: Pricing, Hedging and Trading Financial Instruments (v. 3) (Hardcover)
Written by leading market risk academic, Professor Carol Alexander, Pricing, Hedging and Trading Financial Instruments forms part three of the Market Risk Analysis four volume set. This book is an in-depth, practical and accessible guide to the models that are used for pricing and the strategies that are used for hedging financial instruments, and to the markets in which they trade. It provides a comprehensive, rigorous and accessible introduction to bonds, swaps, futures and fo (more…)Free WP Plugins
Continue Reading »The Professional Risk Managers' Guide to the Energy Market (PRMIA Risk Management Series) (Hardcover)
An essential resource for all financial professionals affected by energy prices, The Professional Risk Managers’ Guide to the Energy Market presents a complete account of the evolution, tools, scope, and breadth of the energy and environmental financial markets. Sponsored by the PRMIA Institute and edited by renowned analyst Peter Fusaro, the book includes contributions from 20 world experts who discuss every aspect of energy trading and the risks associated with specific i (more…)
Continue Reading »10 Laws of Risk Management (Interactive CD-Rom)
Learn the 10 Basic Laws of Risk Management that all Successful Traders Know — Successful traders, no matter what the financial instrument, have all learned the specific rules to Risk Management, Capital Preservation and Discipline. This course will take you through the 10 basic laws – a “Starters Kit” for the serious trader. Mike Mc Mahon will list and then show you how to implement these laws into your own trading style. “Learning How Not To Lose” is the first step you need to (more…)
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