Managing financial risk : a guide to derivative products, financial engineering, and value maximization /

Detalles Bibliográficos
Autor principal: Smithson, C. W. (autor)
Formato: Libro
Lenguaje:English
Publicado: New York : McGraw-Hill, ©1998
Edición:3rd edition.
Colección:Irwin library of investment & finance.
Materias:
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100 1 |9 221120  |a Smithson, C. W.   |q (Charles W.)  |e autor 
245 1 0 |a Managing financial risk :   |b a guide to derivative products, financial engineering, and value maximization /  |c Charles W. Smithson. 
250 |a 3rd edition. 
264 4 |a New York :  |b McGraw-Hill,  |c ©1998 
300 |a  xxiv, 663 páginas :   |b ilustraciones, cuadros, gráficas ;   |c 24 cm. 
336 |2 rdacontent  |a texto  |b txt 
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490 0 |a Irwin library of investment & finance. 
500 |a Datos biográficos del autor en la página v. 
504 |a Incluye índice 
504 |a Bibliografía: páginas 642-653. 
505 2 |a The evolution of risk management products. -- An overview of the risk management process. -- Impact of the Introduction of the risk Management products. -- Forward contracts. -- Applications of forwards. -- Futures. -- Applications of futures. --Swaps. -- Applications of swaps. -- A primer on options. -- First-generation options. -- Applications of options. -- Second-generation options. -- Engineering “new” risk management total return swaps 313 products. -- Hybrid securities. -- The dealer’s perspective. -- Measuring and managing default risk. -- Managing price risk in a portfolio of derivatives. -- Risk governance. -- Risk management and the value of a nonfinancial firm. -- Measuring a nonfinancial firm's exposure to financial price risk. -- Implementing a risk management program. -- Uses of risk management products by banks and other financial institutions. -- Uses of risk management products by institutional investors.  
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650 7 |a DERIVADOS FINANCIEROS  |2 LEMB   |9 160373 
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