
Managing Foreign Exchange Risk
Advanced Strategies for Global Investors, Corporations and Financial Institutions
David F. DeRosa(Author)
McGraw-Hill Professional (Publisher)
3rd Edition
Book
Hardback
375 pages
978-0-07-140836-3 (ISBN)
Description
"Managing Foreign Exchange Risk, Third Edition" is revised and updated to integrate three major issues that have become central foreign exchange considerations - the euro, emerging market currencies and crises, and the effects of technology on the mechanisms of trading. Professional money managers and traders, along with institutional investors, receive a detailed overview of the international monetary system and the mechanics of forex trading along with actual forex market conventions, real-world examples, and in-depth discussion of forward contracts, exotics, and overlay programs.
More details
Edition
3rd Revised edition
Language
English
Place of publication
United States
Publishing group
McGraw-Hill Education - Europe
Target group
Professional and scholarly
Edition type
Revised edition
Illustrations
35 illus
Dimensions
Height: 228 mm
Width: 152 mm
ISBN-13
978-0-07-140836-3 (9780071408363)
Copyright in bibliographic data and cover images is held by Nielsen Book Services Limited or by the publishers or by their respective licensors: all rights reserved.
Schweitzer Classification
Other editions
Previous edition
David F. DeRosa
Managing Foreign Exchange Risk
Advanced Strategies for Global Investors, Corporations and Financial Institutions
Book
03/1995
2nd Edition
Irwin Professional Publishing
€82.00
Article exhausted; check for reprint
Person
David F. DeRosa (New Canaan, CT) is a high-profile principal of DeRosa Research and Trading. An adjunct professor of finance at Yale University, DeRosa also writes a column for Bloomberg News.