£147.49

Springer Management and Control of Foreign Exchange Risk Book

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Description

Explore the evolution of currency risk management with this specialized text from Springer. Since the original publication of Management of Foreign Exchange Risk in 1978, the landscape of financial innovation has changed drastically. This book addresses how exploding volatility in currency prices has transformed both the theory and the practical application of managing foreign exchange risk. Readers will learn how traditional forward contracts have been replaced by more advanced tools. The text covers the shift toward currency swaps, options, and the growing variety of derivatives available in today's markets. It explains how these forex derivatives function as a low-cost and efficient way to transfer risk. This is an essential resource for understanding how risk-hedgers can move exposure to those better equipped to manage it. Whether you are studying international accounting or financial management, this book provides a foundation for understanding modern market dynamics.

Key Features

Covers the transition from old-fashioned forward contracts to modern currency swaps and options.

Provides insight into how exploding volatility in currency prices drives financial innovation.

Explains the role of forex derivatives in transferring risk from hedgers to other market participants.

Offers a detailed look at the theory and praxis of foreign exchange risk management.

An ideal resource for professionals and students in international business and finance.

This is a used book provided in good condition for your study needs.

Product Specifications

Format
hardcover
Domain
Amazon UK
Release Date
31 May 1996
Listed Since
15 December 2006

Barcode

No barcode data available

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