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Managing Risk in the Foreign Exchange, Money and Derivative Markets

Managing Risk in the Foreign Exchange, Money and Derivative Markets

No customer reviews yet ISBN 9780070526730 McGraw Hill

Cutting through unnecessary detail and complicated technicalities, Managing Risk in the Foreign Exchange, Money, and Derivative Markets offers a no-nonsense approach on how to propel your success in the international trading market without engaging in unacceptable and often unknown risks. In Managing Risk in the Foreign Exchange, Money, and Derivative Markets, Riehl combines down-to-earth coverage of price risk, credit risk, and liquidity risk with a practical focus on risk versus return analysis. Each chapter contains pertinent information, time-tested advice, relevant charts and graphs, and examples of market scenarios. Novices and professionals alike will learn how to recognize risk and assess its size; manage and control price, credit, and liquidity risks; exploit opportunity; decipher derivatives; judge the advantages and dangers of new financial products; evaluate the impact of trades on balance sheet and capital ratio; and protect against human error and fraud.

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Product details

BrandMcGraw Hill
Pub dateSep 22, 1998
ISBN-100070526737
ISBN-139780070526730
LanguageEnglish
Dimensions9.3 × 0.86 × 6.4 in
Weight1 lb
Last updated 2026-07-01 22:08
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