Managing Financial Risk with Derivatives (häftad)
Format
Häftad (Paperback / softback)
Språk
Engelska
Antal sidor
64
Utgivningsdatum
2012-09-10
Förlag
LAP Lambert Academic Publishing
Illustrationer
black & white illustrations
Dimensioner
229 x 152 x 4 mm
Vikt
104 g
Antal komponenter
1
Komponenter
Paperback
ISBN
9783659110177
Managing Financial Risk with Derivatives (häftad)

Managing Financial Risk with Derivatives

The Case of the Pakistan Telecommunication Industry

Häftad Engelska, 2012-09-10
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A derivative instrument is a financial instrument which derives its value from the value of some other financial instrument or variable. It is contract between two parties that specifies conditions (especially the dates, resulting values of the underlying variables, and notional amounts) under which payments are to be made between two parties. Financial risk an umbrella term for multiple types of risk associated with financing, which is managed by derivatives. The book is an attempt to explore the financial risk which is face by the companies and managing these risks with derivatives like forwards, futures, swaps and options.
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