
This workbook starts off by describing the role of the treasurer and her basic concepts and products of risk management, including spot, forward and futures contracts, swaps and options. It sets out how the instruments work and how best they are used. It explains option pricing theory, the mechanics of the options market and trading strategies, including exchange-traded and over-the-counter currency options. It also includes analysis of advanced concepts and products.
Page Count:
32
Publication Date:
1991-01-01
Publisher:
Euromoney Institutional Investor PLC
ISBN-10:
187168255X
ISBN-13:
9781871682557
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