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Derivatives Accounting and Risk Management

auditing and accounting standards for the ever-growing derivatives market.;

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Accounting and Tax Rules for Derivatives

Derivatives and credit derivatives have emerged as significant areas of interest in portfolio planning and risk management. In this book;

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Liability Hedging and Portfolio Choice

title highlights radical rethinking that has taken place in corporate risk management. It is suitable for derivatives desks, pension funds;

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Derivatives Handbook

of the most complicated and often misunderstood financial instruments in the marketplace. In Derivatives Handbook: Risk Management and Control;

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Mastering Derivatives Markets

chapter on risk and risk management* an updated and expanded glossary of terms Mastering Derivatives Markets concentrates on the fundamentals and;

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Accounting for Risk, Hedging and Complex Contracts

With the exponential growth in financial derivatives, accounting standards setters have had to keep pace and devise new ways of accounting;

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Accounting For Derivatives

includes new chapters on hedging inflation risk and stock options, with new cases on special hedging situations including hedging components;

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Shipping Derivatives and Risk Management

A comprehensive book on shipping derivatives and risk management which covers the theoretical and practical aspects of financial risk;

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The Credit Risk of Complex Derivatives

period of dramatic change - in the external operating environment, product and market characteristic and risk management techniques. In the light;

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Risk Management and Derivatives

maximize firm value through risk management. This book presents the crucial tools necessary for executives and future derivatives players to;

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International Risk Management

. hedging derivatives, longevity bonds etc; risk reporting; and the role of the accountant in risk management. There are the case studies through;

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Introduction to Derivatives and Risk Management

, market-leading INTRODUCTION TO DERIVATIVES AND RISK MANAGEMENT, 10e is packed with real-world examples while keeping technical mathematics to a;

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Stochastic models in risk theory and management accounting

Stochastic models in risk theory and management accounting;

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FX Derivatives Trader School

, plus practical derivatives mathematics is introduced with reference to real-world trading and risk management. Derivative contracts are covered;

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Foreign Exchange International Finance Risk Management, 5th Edition

in relation to mis selling of derivatives as hedging alternatives. Apart from covering the risk management issues, the book touches upon the relevant;

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Energy Trading & Risk Management

style, Iris Mack breaks down the three primary applications for energy derivatives markets Risk Management, Speculation, and Investment;

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Aise-An Intro to Derivatives and Risk Mgmt + Stock Track

pricing, trading, and strategy in AN INTRODUCTION TO DERIVATIVES AND RISK MANAGEMENT. A collection of figures illustrate links between puts, calls;

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Advances in Pacific Basin Business, Economics and Finance

; Fixed-Income securities and portfolio management; Insurance and risk management; Accounting, auditing and taxation; Marketing;

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Derivatives Trading and Option Pricing

This title aims to help the reader manage the risk involved in pricing and trading derivatives and options. Detailed guidance allows the;

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Practical Readings in Financial Derivatives

. Two central themes govern the content. These are the pricing of financial derivatives and their application in risk management. Section I;

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Equity Derivatives Explained

products, their usage, structuring and their risk management. The author efficiently bridges the gap between theory and practice, constantly;

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Money and Capital Markets

risk management of short-term money market and capital market securities and their derivatives. In a clear and direct way, Michael Sherris;

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Money and Capital Markets

management of short-term money market and capital market securities and their derivatives. In a clear and direct way, Michael Sherris covers fixed;

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Currency - and Financial Derivative Management in Practice

biggest, listed European companies outside the Euro Zone with regard to their Currency-, interest rates- and commodity risk management. Here one;

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Securitisation Swaps

practitioners to: Manage securitisation swaps more effectively, from pre-trade structuring and modelling to post-trade risk management and;

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Paper P3 Management Accounting - Risk and Control Strategy

Management Accounting is een boek van Kaplan Publishing Foulks Lynch;

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The XVA of Financial Derivatives CVA DVA and FVA Explained

and risk management taking into account counterparty risk, and the XVA's Credit, Funding and Debt value adjustments.;

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