• Derivatives: Optimal Risk Control

Derivatives: Optimal Risk Control

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SKU SHUB68485
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Overview

This is the first book to deliver a total strategy for controlling derivatives risk. The strategy is integrated with the organization's wider systems, strategies and culture. Focusing on managing the future and not merely auditing the past, the book is designed to move risk management from a dead weight cost to a driver of value. The authors successfully integrate the key disciplines of finance, management and international law in a model for truly optimal risk control across the whole business

Product Details

ISBN-13: 9780273635710
ISBN-10: 0273635719
Publisher: Financial Times Management
Publication date: 1999
Pages: 222
Product dimensions: Height: 9.5 Inches, Length: 6.75 Inches, Weight: 1.1904962148 Pounds, Width: 1 Inches
Author: Fraser Malcolm, Pawan V. Sharma, Joseph Tanega
Language: en
Binding: Hardcover

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