or
Sign in to turn on 1-Click ordering.
 
 
More Buying Choices
22 used & new from £4.68

Have one to sell? Sell yours here
 
   
Managing Financial Risk: A Guide to Derivative Products, Financial Engineering, and Value Maximization (McGraw-Hill Library of Investment & Finance)
 
 

Managing Financial Risk: A Guide to Derivative Products, Financial Engineering, and Value Maximization (McGraw-Hill Library of Investment & Finance) (Hardcover)

by Charles W. Smithson (Author) "Unpredictable movements in exchange rates, interest rates, and commodity prices not only can affect a firm's reported quarterly earnings but even may determine whether a..." (more)
4.0 out of 5 stars  See all reviews (1 customer review)
RRP: £41.99
Price: £29.26 & this item Delivered FREE in the UK with Super Saver Delivery. See details and conditions
You Save: £12.73 (30%)
o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o
In stock.
Dispatched from and sold by Amazon.co.uk. Gift-wrap available.

Only 2 left in stock--order soon (more on the way).

Want guaranteed delivery by Tuesday, November 10? Choose Express delivery at checkout. See Details
14 new from £26.45 8 used from £4.68

Frequently Bought Together

Customers buy this book with An Introduction to Derivatives and Risk Management: With Stock-Trak Coupon by Don M. Chance

Managing Financial Risk: A Guide to Derivative Products, Financial Engineering, and Value Maximization (McGraw-Hill Library of Investment & Finance) + An Introduction to Derivatives and Risk Management: With Stock-Trak Coupon
Price For Both: £77.75

Show availability and shipping details


Customers Who Bought This Item Also Bought

Risk Management and Financial Institutions

Risk Management and Financial Institutions

by John C. Hull
1.0 out of 5 stars (1)  £42.73
When Genius Failed: The Rise and Fall of Long Term Capital Management

When Genius Failed: The Rise and Fall of Long Term Capital Management

by Roger Lowenstein
4.4 out of 5 stars (23)  £4.99
An Introduction to Derivatives and Risk Management: With Stock-Trak Coupon

An Introduction to Derivatives and Risk Management: With Stock-Trak Coupon

by Don M. Chance
£48.49
Traders, Guns and Money: Knowns and Unknowns in the Dazzling World of Derivatives

Traders, Guns and Money: Knowns and Unknowns in the Dazzling World of Derivatives

by Mr Satyajit Das
4.0 out of 5 stars (13)  £9.98
Options, Futures, and Other Derivatives (Prentice Hall Series in Finance)

Options, Futures, and Other Derivatives (Prentice Hall Series in Finance)

by JOHN C HULL
4.4 out of 5 stars (21)  £49.99
Explore similar items

Product details

  • Hardcover: 620 pages
  • Publisher: McGraw-Hill Professional; 3 edition (1 Jul 1998)
  • Language English
  • ISBN-10: 007059354X
  • ISBN-13: 978-0070593541
  • Product Dimensions: 23.6 x 18.8 x 5.6 cm
  • Average Customer Review: 4.0 out of 5 stars  See all reviews (1 customer review)
  • Amazon.co.uk Sales Rank: 291,389 in Books (See Bestsellers in Books)
  • See Complete Table of Contents

Customers Viewing This Page May Be Interested in These Sponsored Links

  (What is this?)
   Financial Engineering opens new browser window
mfe.haas.berkeley.edu  -  UC Berkeley Haas School of Business 1-year Masters Program 
   Financial Risk Monitoring opens new browser window
www.kfpsalsa.com  -  Web based, used by many corporates banks and municipalities.£320/Month 
   Financial Engineering opens new browser window
www.mathworks.com  -  Comprehensive financial engineering and analysis computing environment. 
  
 

Product Description

Product Description

The established leading authority in risk management - completely updated. For years, financial executives and risk managers have recognized Charles Smithson's "Managing Financial Risk" as the authoritative source for comprehensive coverage of risk management products. While other books may touch on specific strategies and products, "Managing Financial Risk" stands alone in exploring derivatives and risk management from all angles, providing trusted guidance to both the sell and the buy sides. "Managing Financial Risk, 3rd Edition", updates and expands this indispensable resource.Combining a comprehensive explanation of forwards, futures, swaps, options, and hybrid securities with the latest technologies for effectively managing financial risk, this authoritative and insightful edition now includes: a look at recent innovations in the risk management marketplace, including electricity derivatives and featuring credit derivatives - the newest of the risk management products; explanation of implementing a risk management program; new coverage on the effective use of risk management by institutional investors and financial institutions; an expanded discussion of the way a dealer measures and manages the credit and market risk associated with derivatives - a discussion that includes a clear exposition of 'value-at-risk'.


Book Description

A classic in professional finance, this is the perfect book for financial professionals who must learn about derivatives, Managing Financial Risk is a comprehensive and up-to-date account of how derivatives can be used to manage risk and maximize value in today's volatile financial markets. The book covers derivative products, from basic instruments such as forwards and futures to more complex option products and hybrid securities. In addition, the book explains how derivatives are used from the perspective of each major player in the market: derivative dealers, financial firms, and major corporations.

Inside This Book (Learn More)
First Sentence
Unpredictable movements in exchange rates, interest rates, and commodity prices not only can affect a firm's reported quarterly earnings but even may determine whether a firm survives. Read the first page
Explore More
Concordance
Browse Sample Pages
Front Cover | Copyright | Table of Contents | Excerpt | Index | Back Cover
Search inside this book:

Suggested Tags from Similar Products

 (What's this?)
Be the first one to add a relevant tag (keyword that's strongly related to this product)
 
risk management

Your tags: Add your first tag
 

What Do Customers Ultimately Buy After Viewing This Item?

Managing Financial Risk: A Guide to Derivative Products, Financial Engineering, and Value Maximization (McGraw-Hill Library of Investment & Finance)
98% buy the item featured on this page:
Managing Financial Risk: A Guide to Derivative Products, Financial Engineering, and Value Maximization (McGraw-Hill Library of Investment & Finance) 4.0 out of 5 stars (1)
£29.26
Traders, Guns and Money: Knowns and Unknowns in the Dazzling World of Derivatives
2% buy
Traders, Guns and Money: Knowns and Unknowns in the Dazzling World of Derivatives 4.0 out of 5 stars (13)
£9.98

 

Customer Reviews

1 Review
5 star:    (0)
4 star:
 (1)
3 star:    (0)
2 star:    (0)
1 star:    (0)
 
 
 
 
 
Average Customer Review
4.0 out of 5 stars (1 customer review)
 
 
 
 
Share your thoughts with other customers:
Most Helpful Customer Reviews

 
0 of 1 people found the following review helpful:
4.0 out of 5 stars Not a waste of time and money, 23 Nov 1998
By A Customer
A good find in a world full of books based on the same subject. Worth spending your time on. Read it and enjoy it.
Comment Comment | Permalink | Was this review helpful to you? Yes No (Report this)


Share your thoughts with other customers: Create your own review
 
 
 
Only search this product's reviews



Customer Discussions

This product's forum
Discussion Replies Latest Post
No discussions yet

Ask questions, Share opinions, Gain insight
Start a new discussion
Topic:
First post:
Prompts for sign-in
 

   


Listmania!


Look for similar items by category


Look for similar items by subject


Feedback

Ad

Your Recent History

 (What's this?)

After viewing product detail pages or search results, look here to find an easy way to navigate back to pages you are interested in.