Isbn: 9781292017563 - mastering interest rate risk strategy: a practical guide to managing corporate financial risk (20 risultati)

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  • Lingua: Inglese

    Editore: Pearson Education, 2015

    1292017562 / 9781292017563

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    1292017562 / 9781292017563

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    Paperback. Condizione: new. Paperback. Financial institutions, private and public companies and governments can lose vast amounts of money from even minor changes in interest rates. Because of this, complex financial instruments have been developed to mitigate these exposures. But what happens when organisations hedge themselves to ill-advised and ill-formulated financial management strategies? Based on a proven analytical method, Mastering Interest Rate Risk Strategy explains, step-by-step, how to set up and run a sound interest rate risk strategy. Influenced by the authors work with leading companies and tested with banks, the book will help readers bring risk under control, raise profits and ensure healthy cash flows. Mastering Interest Rate Risk Strategy: Shows you how to mitigate interest rate risk using the most advanced risk management techniques Provides you with an analytical method that is proven both academically and in practice Uses examples and real life cases to support the transfer of knowledge and skills Practical guide to Managing Corporate Financial Risk. Shipping may be from multiple locations in the US or from the UK, depending on stock availability.

  • Lingua: Inglese

    Editore: Pearson Education, 2015

    1292017562 / 9781292017563

    Serie: Libro 12 di 14 - The Mastering

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  • Lingua: Inglese

    Editore: Pearson Education, 2015

    1292017562 / 9781292017563

    Serie: Libro 12 di 14 - The Mastering

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  • Lingua: Inglese

    Editore: FT Publishing International 2015-05-14, 2015

    1292017562 / 9781292017563

    Serie: Libro 12 di 14 - The Mastering

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  • Lingua: Inglese

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    1292017562 / 9781292017563

    Serie: Libro 12 di 14 - The Mastering

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  • Lingua: Inglese

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    Paperback. Condizione: Brand New. 232 pages. 9.06x6.06x0.71 inches. In Stock.

  • Lingua: Inglese

    Editore: Pearson Education Limited, 2015

    1292017562 / 9781292017563

    Serie: Libro 12 di 14 - The Mastering

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  • Lingua: Inglese

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    1292017562 / 9781292017563

    Serie: Libro 12 di 14 - The Mastering

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    Condizione: New. pp. 232.

  • Lingua: Inglese

    Editore: FT Publishing International, Pearson Business Sep 2024, 2024

    1292017562 / 9781292017563

    Serie: Libro 12 di 14 - The Mastering

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    Taschenbuch. Condizione: Neu. Neuware -Financial institutions, private and public companies and governments can lose vast amounts of money from even minor changes in interest rates. Because of this, complex financial instruments have been developed to mitigate these exposures. But what happens when organisations hedge themselves to ill-advised and ill-formulated financial management strategies Based on a proven analytical method, Mastering Interest Rate Risk Strategy explains, step-by-step, how to set up and run a sound interest rate risk strategy. Influenced by the author s work with leading companies and tested with banks, the book will help readers bring risk under control, raise profits and ensure healthy cash flows. Mastering Interest Rate Risk Strategy: Shows you how to mitigate interest rate risk using the most advanced risk management techniquesProvides you with an analytical method that is proven both academically and in practiceUses examples and real life cases to support the transfer of knowledge and skillsInterest rate changes will affect most firms because they will have interest bearing assets or liabilities. As a result, interest rate movements have an unfavourable impact and managing interest rate risk can be highly beneficial for the firm. But high-profile derivative blunders show that this is no easy task. In Mastering Interest Rate Risk Strategy, Victor Macrae shows you how to avoid the mis-selling of derivatives and derivatives blunders and how to set up an optimal interest rate risk strategy.Mastering Interest Rate Risk Strategy includes: Past derivatives blunders and how you can learn from them A proven analytical method for strategy formulation Hedging theory Bank financing for non-financial firms How movements in the financial markets may affect the firm Financial statement impact of interest rate risk The working and risks of using swaps, FRA s, caps, floors, collars and swaptions This is a wonderful and easy to read tour of interest rate risk and its management, and mismanagement. Anyone who wants to better understand why and how non-financial firms should be dealing with interest rate risk should read this book. Gordon M. Bodnar, Professor on International Finance, Johns Hopkins University Macrae s guide is an excellent cookbook for financial managers. With many cases and examples, this book offers guidance in robust risk management techniques. Abe de Jong, Professor of Corporate Finance and Corporate Governance at Rotterdam School of Management, Erasmus University 232 pp. Englisch.

  • Lingua: Inglese

    Editore: Pearson Education Limited, 2015

    1292017562 / 9781292017563

    Serie: Libro 12 di 14 - The Mastering

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  • Lingua: Inglese

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    1292017562 / 9781292017563

    Serie: Libro 12 di 14 - The Mastering

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  • Lingua: Inglese

    Editore: Pearson Sep 2024, 2024

    1292017562 / 9781292017563

    Serie: Libro 12 di 14 - The Mastering

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    Taschenbuch. Condizione: Neu. Neuware - Financial institutions, private and public companies and governments can lose vast amounts of money from even minor changes in interest rates. Because of this, complex financial instruments have been developed to mitigate these exposures. But what happens when organisations hedge themselves to ill-advised and ill-formulated financial management strategies Based on a proven analytical method, Mastering Interest Rate Risk Strategy explains, step-by-step, how to set up and run a sound interest rate risk strategy. Influenced by the author s work with leading companies and tested with banks, the book will help readers bring risk under control, raise profits and ensure healthy cash flows. Mastering Interest Rate Risk Strategy: Shows you how to mitigate interest rate risk using the most advanced risk management techniquesProvides you with an analytical method that is proven both academically and in practiceUses examples and real life cases to support the transfer of knowledge and skillsInterest rate changes will affect most firms because they will have interest bearing assets or liabilities. As a result, interest rate movements have an unfavourable impact and managing interest rate risk can be highly beneficial for the firm. But high-profile derivative blunders show that this is no easy task. In Mastering Interest Rate Risk Strategy, Victor Macrae shows you how to avoid the mis-selling of derivatives and derivatives blunders and how to set up an optimal interest rate risk strategy.Mastering Interest Rate Risk Strategy includes: Past derivatives blunders and how you can learn from them A proven analytical method for strategy formulation Hedging theory Bank financing for non-financial firms How movements in the financial markets may affect the firm Financial statement impact of interest rate risk The working and risks of using swaps, FRA s, caps, floors, collars and swaptions This is a wonderful and easy to read tour of interest rate risk and its management, and mismanagement. Anyone who wants to better understand why and how non-financial firms should be dealing with interest rate risk should read this book. Gordon M. Bodnar, Professor on International Finance, Johns Hopkins University Macrae s guide is an excellent cookbook for financial managers. With many cases and examples, this book offers guidance in robust risk management techniques. Abe de Jong, Professor of Corporate Finance and Corporate Governance at Rotterdam School of Management, Erasmus University.

  • Lingua: Inglese

    Editore: Pearson Education, 2015

    1292017562 / 9781292017563

    Serie: Libro 12 di 14 - The Mastering

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  • Lingua: Inglese

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    Serie: Libro 12 di 14 - The Mastering

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  • Lingua: Inglese

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    Kartoniert / Broschiert. Condizione: New. &Uumlber den AutorDr Victor Macrae runs Macrae Finance, a consulting firm advising global financial corporations such as ABN Amro, Deutsche Bank and ING Bank. Based in The Netherlands he has a PhD in financial risk management and his.

  • Lingua: Inglese

    Editore: FT Publishing International, 2025

    1292017562 / 9781292017563

    Serie: Libro 12 di 14 - The Mastering

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    Taschenbuch. Condizione: Neu. Mastering Interest Rate Risk Strategy | Victor Macrae | Taschenbuch | 232 S. | Englisch | 2025 | FT Publishing International | EAN 9781292017563 | Verantwortliche Person für die EU: Pearson Studium im Verlag Pearson Benelux B.V. Zweigniederla, Sankt-Martin-Str. 82, 81541 München, buchhandel[at]pearson[dot]com | Anbieter: preigu.

  • Lingua: Inglese

    Editore: Pearson Education Limited, Harlow, 2015

    1292017562 / 9781292017563

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    Paperback. Condizione: new. Paperback. Financial institutions, private and public companies and governments can lose vast amounts of money from even minor changes in interest rates. Because of this, complex financial instruments have been developed to mitigate these exposures. But what happens when organisations hedge themselves to ill-advised and ill-formulated financial management strategies? Based on a proven analytical method, Mastering Interest Rate Risk Strategy explains, step-by-step, how to set up and run a sound interest rate risk strategy. Influenced by the authors work with leading companies and tested with banks, the book will help readers bring risk under control, raise profits and ensure healthy cash flows. Mastering Interest Rate Risk Strategy: Shows you how to mitigate interest rate risk using the most advanced risk management techniques Provides you with an analytical method that is proven both academically and in practice Uses examples and real life cases to support the transfer of knowledge and skills Practical guide to Managing Corporate Financial Risk. Shipping may be from our Sydney, NSW warehouse or from our UK or US warehouse, depending on stock availability.

  • Lingua: Inglese

    Editore: FT Publishing International, Pearson Business Sep 2024, 2024

    1292017562 / 9781292017563

    Serie: Libro 12 di 14 - The Mastering

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    Taschenbuch. Condizione: Neu. This item is printed on demand - it takes 3-4 days longer - Neuware -Financial institutions, private and public companies and governments can lose vast amounts of money from even minor changes in interest rates. Because of this, complex financial instruments have been developed to mitigate these exposures. But what happens when organisations hedge themselves to ill-advised and ill-formulated financial management strategies Based on a proven analytical method, Mastering Interest Rate Risk Strategy explains, step-by-step, how to set up and run a sound interest rate risk strategy. Influenced by the author s work with leading companies and tested with banks, the book will help readers bring risk under control, raise profits and ensure healthy cash flows. Mastering Interest Rate Risk Strategy: Shows you how to mitigate interest rate risk using the most advanced risk management techniquesProvides you with an analytical method that is proven both academically and in practiceUses examples and real life cases to support the transfer of knowledge and skillsInterest rate changes will affect most firms because they will have interest bearing assets or liabilities. As a result, interest rate movements have an unfavourable impact and managing interest rate risk can be highly beneficial for the firm. But high-profile derivative blunders show that this is no easy task. In Mastering Interest Rate Risk Strategy, Victor Macrae shows you how to avoid the mis-selling of derivatives and derivatives blunders and how to set up an optimal interest rate risk strategy.Mastering Interest Rate Risk Strategy includes: Past derivatives blunders and how you can learn from them A proven analytical method for strategy formulation Hedging theory Bank financing for non-financial firms How movements in the financial markets may affect the firm Financial statement impact of interest rate risk The working and risks of using swaps, FRA s, caps, floors, collars and swaptions This is a wonderful and easy to read tour of interest rate risk and its management, and mismanagement. Anyone who wants to better understand why and how non-financial firms should be dealing with interest rate risk should read this book. Gordon M. Bodnar, Professor on International Finance, Johns Hopkins University Macrae s guide is an excellent cookbook for financial managers. With many cases and examples, this book offers guidance in robust risk management techniques. Abe de Jong, Professor of Corporate Finance and Corporate Governance at Rotterdam School of Management, Erasmus University 232 pp. Englisch.

  • Lingua: Inglese

    Editore: FT Publishing International, Pearson Sep 2024, 2024

    1292017562 / 9781292017563

    Serie: Libro 12 di 14 - The Mastering

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    Taschenbuch. Condizione: Neu. This item is printed on demand - Print on Demand Titel. Neuware -Financial institutions, private and public companies and governments can lose vast amounts of money from even minor changes in interest rates. Because of this, complex financial instruments have been developed to mitigate these exposures. But what happens when organisations hedge themselves to ill-advised and ill-formulated financial management strategies Based on a proven analytical method, Mastering Interest Rate Risk Strategy explains, step-by-step, how to set up and run a sound interest rate risk strategy. Influenced by the author's work with leading companies and tested with banks, the book will help readers bring risk under control, raise profits and ensure healthy cash flows. Mastering Interest Rate Risk Strategy: Shows you how to mitigate interest rate risk using the most advanced risk management techniques Provides you with an analytical method that is proven both academically and in practice Uses examples and real life cases to support the transfer of knowledge and skillsInterest rate changes will affect most firms because they will have interest bearing assets or liabilities. As a result, interest rate movements have an unfavourable impact and managing interest rate risk can be highly beneficial for the firm. But high-profile derivative blunders show that this is no easy task. In Mastering Interest Rate Risk Strategy, Victor Macrae shows you how to avoid the mis-selling of derivatives and derivatives blunders and how to set up an optimal interest rate risk strategy.Mastering Interest Rate Risk Strategy includes: ? Past derivatives blunders and how you can learn from them? A proven analytical method for strategy formulation? Hedging theory? Bank financing for non-financial firms? How movements in the financial markets may affect the firm? Financial statement impact of interest rate risk? The working and risks of using swaps, FRA's, caps, floors, collars and swaptions'This is a wonderful and easy to read tour of interest rate risk and its management, and mismanagement. Anyone who wants to better understand why and how non-financial firms should be dealing with interest rate risk should read this book.'Gordon M. Bodnar, Professor on International Finance, Johns Hopkins University'Macrae's guide is an excellent cookbook for financial managers. With many cases and examples, this book offers guidance in robust risk management techniques.'Abe de Jong, Professor of Corporate Finance and Corporate Governance at Rotterdam School of Management, Erasmus UniversityFinancial Times Prent., St.-Martin-Straße 82, 81541 München 232 pp. Englisch.