1990 | OriginalPaper | Buchkapitel
Risk and Risk Reduction
verfasst von : Michael Z. Brooke, MA PhD FIEx.
Erschienen in: Handbook of International Financial Management
Verlag: Palgrave Macmillan UK
Enthalten in: Professional Book Archive
Aktivieren Sie unsere intelligente Suche, um passende Fachinhalte oder Patente zu finden.
Wählen Sie Textabschnitte aus um mit Künstlicher Intelligenz passenden Patente zu finden. powered by
Markieren Sie Textabschnitte, um KI-gestützt weitere passende Inhalte zu finden. powered by
Part 5 is about risks — how to understand them and how to reduce them. The first five chapters are concerned with types of risk that a finance manager faces: currency, trading, balance sheet, exchange and political. These are followed by three chapters about instruments available for limiting risk and their uses — financial futures, swap financing and options and equity derivatives.