• Risk Management with Derivatives

Risk Management with Derivatives

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Est. Date: Nov 29, 2025

Risk management of interest currency and rate and other mutable issues is a fundamental part of financial management. An ever increasing part of this is manipulation by derivative product, by swaps, futures and options, caps, swaptions and a myriad of other exotic structures available. Risk Management with Derivatives assesses their individual function and analyses the part they play in risk management.

  • Author(s): Sandy McKenzie
  • Publisher: Palgrave Macmillan UK
  • Language: en
  • Pages: 218
  • Binding: Paperback
  • Edition: 1992
  • Published: 1992-06-18
  • Dimensions: Height: 9.21 Inches, Length: 6.14 Inches, Weight: 1.2 Pounds, Width: 0.67 Inches
  • Estimated Delivery: Nov 29, 2025
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