Knygos.lt klubas Knygos.lt nariams
48,15 €
-30%
Įprastai
68,79 €
Foreign Exchange International Finance Risk Management, 5th Edition
Foreign Exchange International Finance Risk Management, 5th Edition
Knygos.lt klubas Knygos.lt nariams
48,15 €
-30%
Įprastai
68,79 €
  • Išsiųsime per 12–18 d.d.
The book provides a comprehensive understanding of the functioning of the forex markets, the risks and objectives pertinent to forex exposures, the derivative instruments available for hedging, as well as an insight into some of the disputes between banks and their counter parties in relation to mis selling of derivatives as hedging alternatives. Apart from covering the risk management issues, the book touches upon the relevant accounting and regulatory aspects in the treatment of forex derivat…
  • Leidėjas:
  • Metai: 2014
  • Puslapiai: 430
  • ISBN-10: 1619030292
  • ISBN-13: 9781619030299
  • Formatas: 19.1 x 23.5 x 2.2 cm, minkšti viršeliai
  • Kalba: Anglų

Foreign Exchange International Finance Risk Management, 5th Edition (el. knyga) (skaityta knyga) | knygos.lt

Atsiliepimai

(4.00 Goodreads įvertinimas)

Aprašymas

The book provides a comprehensive understanding of the functioning of the forex markets, the risks and objectives pertinent to forex exposures, the derivative instruments available for hedging, as well as an insight into some of the disputes between banks and their counter parties in relation to mis selling of derivatives as hedging alternatives. Apart from covering the risk management issues, the book touches upon the relevant accounting and regulatory aspects in the treatment of forex derivatives. The book would be found especially valuable by Finance Treasury professionals in banks, companies and auditors. It is also a useful primer for managers in other functional areas like purchase, sales, commercial, etc. who are involved in foreign exchange transactions.

Knygos.lt klubas
Knygos.lt nariams
48,15 €
-30%
Įprastai
68,79 €
Kaina registruotiems pirkėjams
Prisijunkite ir už šią prekę
gausite 0,69 Knygų Eurų!?
Išsiųsime per 12–18 d.d.
Įsigykite dovanų kuponą
Daugiau
  • Autorius: A V Rajwade
  • Leidėjas:
  • Metai: 2014
  • Puslapiai: 430
  • ISBN-10: 1619030292
  • ISBN-13: 9781619030299
  • Formatas: 19.1 x 23.5 x 2.2 cm, minkšti viršeliai
  • Kalba: Anglų

The book provides a comprehensive understanding of the functioning of the forex markets, the risks and objectives pertinent to forex exposures, the derivative instruments available for hedging, as well as an insight into some of the disputes between banks and their counter parties in relation to mis selling of derivatives as hedging alternatives. Apart from covering the risk management issues, the book touches upon the relevant accounting and regulatory aspects in the treatment of forex derivatives. The book would be found especially valuable by Finance Treasury professionals in banks, companies and auditors. It is also a useful primer for managers in other functional areas like purchase, sales, commercial, etc. who are involved in foreign exchange transactions.

Atsiliepimai

  • Atsiliepimų nėra
0 pirkėjai įvertino šią prekę.
5
0%
4
0%
3
0%
2
0%
1
0%
(rodomas nebus)