FX: Managing Global Currency Risk (Glenlake Business Monographs)
Editorial Reviews
Book Description
FX: Managing Global Currency Risk covers basic and advanced strategies for risk management and profit maximization in the global foreign exchange markets on both theoretical and practical levels. Topics include: plain vanilla and exotic hedging instruments; pricing of currency options; corporate risk management techniques; critical corporate accounting and tax issues; FX and global equity and fixed-income portfolios; currencies as asset classes; understanding overlay strategies; and pension funds and FX risk management.
From the Publisher
Gary Klopfenstein is founder and President of GK Capital Management and GK Investment Management. He is also President of GK Risk Management and GK Software Development and a Director of GK Risk Management SDN BHD. Mr. Klopfenstein received a B.A. from Illinois Weslleyan University and is the author of Trading Currency Cross Rates(John Wiley & Sons).
--This text refers to the
Hardcover
edition.
FX: Managing Global Currency Risk (Glenlake Business Monographs),KLOPFENSTEIN,Fitzroy Dearborn,1884964699,Business & Economics,Business / Economics / Finance,Business/Economics,Corporate Finance,Finance,Foreign Exchange,Foreign exchange futures,Foreign exchange market,Money & Monetary Policy,Risk management,International finance,Investment & securities
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