Pearson Education Home Higher Education HomeInstructor SupportStudent SupportAbout UsCareers
Bookshop
Texts & Technology
ABOUT THIS PRODUCT
Description
Table of Contents
Features
 
RESOURCES
Student
Instructor
First Day of Class
 
INTERNET RESOURCES
Companion Website
 
RELATED TITLES
Derivatives (Finance)
Options and Futures (Finance)
Global Derivatives: A Strategic Risk Management Perspective
0273688545

Torben Juul Andersen, Associate Professor, Copenhagen Business School

Publisher: Financial Times Press
Copyright: 2006
Format: Paper; 480 pp

ISBN-10: 0273688545
ISBN-13:9780273688549Help icon

Our Price: £42.99
Status: Instock
Published: 23 Nov 2005
Add this item to my shopping basket


Add to Exam Copy BookbagAdd to Exam Copy Bookbag PrintPrint Product Information

Description

Global Derivatives provides comprehensive coverage of different types of derivatives, including exchange traded contracts and over-the-counter instruments as well as real options.  There is an equal emphasis on the practical application of derivatives and their actual uses in business transactions and corporate risk management situations.

Various uses of financial derivatives are outlined from relatively simple transactional hedging problems to more complex strategic risk management situations and applications of options perspectives in corporate risk management scenarios. 

This book is ideal for MBA and undergraduate students with a finance or management focus.

Review Quotes

“An interesting and useful approach to the study of derivatives.” George Christodoulakis, City University, UK

“In Global Derivatives: A Strategic Risk Management Perspective Torben Juul Andersen has succeeded to gather in one book a complete and thorough summary and an easy-to-read explanation of all types of derivative instruments and their background and their use in modern management of risk.” Steen Parsholt, Chairman and CEO, Aon Nordic Region

 
Pearson Education Home