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Fuel Hedging & Risk Management

A hands-on guide to navigating the new fuel markets Fuel Hedging and Risk Management: Strategies for Airlines, Shippers and Other Consumers;

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Fuel price risk management in the liner shipping industry

Which is the most efficient way to hedge bunker fuel risk in the liner shipping industry since the abolition of the BAF conferences? This;

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Option Strategy Hedging & Risk Management

Option Strategy Hedging & Risk Management is een boek van Brian Johnson;

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The Risk Management Process

integrate risk management with corporate business strategy-not just on hedging practices-The Risk Management Process is the first financial risk;

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The Greeks and Hedging Explained

A practical guide to basic and intermediate hedging techniques for traders, structerers and risk management quants. This book fills a gap;

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Energy Hedging in Asia

risk to energy companies. In the light of these market changes, interest in energy risk management has grown substantially and is becoming a;

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Energy Hedging in Asia

risk to energy companies. In the light of these market changes, interest in energy risk management has grown substantially and is becoming a;

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Energy Trading & Risk Management

Energy Trading and Risk Management field. This is the first trading, hedging and risk management book for commodity and energy markets that truly;

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Currency Risk Management in US Multinational Corporations

hedging strategies are rather scant. Moreover, several questions with regards to firms' risk management activities remain unanswered. This book;

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Risk Is an Asset

hedging is not a decision, it is a process they call “Process Risk Management,” or PRM. It is guided by risk metrics expressed in the same;

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Beyond Value at Risk

Beyond Value at Risk The New Science of Risk Management A Comprehensive Guide to Value at Risk and Risk Management Risk management and;

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Essentials of Financial Risk Management

A concise introduction to financial risk management strategies, policies, and techniques This ideal guide for business professionals;

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TAIL RISK HEDGING

hedging and tail risk management under a microscope--pricing, implementation, and showing how we can fine-tune our risk exposures, which are all;

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Accounting for Risk, Hedging and Complex Contracts

for transactions involving these instruments, especially hedging activities. Accounting for Risk, Hedging and Complex Contracts addresses the;

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Hedging Currency Exposures

provides practical examples of transaction, translation, and economic risk and shows how a hedging strategy can be arrived at. The hedging strategy;

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Convertible Arbitrage

in hedging, risk management at the portfolio level, and trading and hedging risks. Convertible Arbitrage eliminates any confusion by clearly;

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Risk Management

, when hedging is implemented by the manager. This text offers diversity in terms of risk management. It provides risk management procedures in a;

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Interest Rate Risk in the Banking Book - A Best Practice Guide to Management and Hedging

Introduces practical approaches for optimizing management and hedging of Interest Rate Risk in the Banking Book (IRRBB) driven by fast;

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Hedging Demystified

This primer on hedging describes seven types of financial risk that the proper use of futures, options, and swaps will mitigate;

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Advances in the Valuation and Management of Mortgage-Backed Securities

value analysis, and hedging mortgage instruments against level risk and yield curve risk.;

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Hedging Commodities

convey the necessary skills to allow business and risk management teams to develop proper hedging mechanisms and apply them in practice.;

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Fixed-Income Securities

Dynamic methods for interest rate risk pricing and hedging. Fixed-Income Securities provides a survey of modern methods for pricing and;

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Contemporary Issues in Bank Financial Management

risk management, fund management and evaluation, forex hedging using derivatives and sovereign fixed income portfolios.;

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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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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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