Kamis, 05 Juli 2012

Ebook HEDGING PRACTICES: Risk Management Practices with Derivative Instruments in Commodity and Financial Markets

edwynmathysmalindatuft | Juli 05, 2012

Ebook HEDGING PRACTICES: Risk Management Practices with Derivative Instruments in Commodity and Financial Markets

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HEDGING PRACTICES: Risk Management Practices with Derivative Instruments in Commodity and Financial Markets

HEDGING PRACTICES: Risk Management Practices with Derivative Instruments in Commodity and Financial Markets


HEDGING PRACTICES: Risk Management Practices with Derivative Instruments in Commodity and Financial Markets


Ebook HEDGING PRACTICES: Risk Management Practices with Derivative Instruments in Commodity and Financial Markets

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HEDGING PRACTICES: Risk Management Practices with Derivative Instruments in Commodity and Financial Markets

Product details

Paperback: 209 pages

Publisher: Independently published (March 9, 2018)

Language: English

ISBN-10: 1980513473

ISBN-13: 978-1980513476

Product Dimensions:

6 x 0.5 x 9 inches

Shipping Weight: 13.3 ounces (View shipping rates and policies)

Average Customer Review:

5.0 out of 5 stars

7 customer reviews

Amazon Best Sellers Rank:

#2,314,895 in Books (See Top 100 in Books)

Its a must read for all small businesses especially in manufacturing using commodities as raw material.

I have enjoyed the easy writing and understanding of the book... indeed a complicated subject is well elaborated. The examples are given from real situations and numbers, they help a lot on case sudies, this shows the deep experience of Casaretto.

Outstanding contribution to hedging techniques and their application in Turkey. Very applicable basic strategies to day to day management and in depth analysis of various available tools. Strongly recommended for all level hegders.

I highly recommend this book to anyone who is interested in money management. It is easy to read and gives many ideas to minimize the risk.

Risk management is more prevalent in large firms, dispite smaller firms more likely to experience financial distress. Casaretto's book stresses on the theory that hedging can decrease the costs of financial distress. The question of "why firms undertake risk management activities, such as hedging" is explained through various case studies. A must read for both the experienced and the curious.

An exceptionnal book with full of powerful ideas written in a simple language. Strongly suggest you read it .

this book has fulfilled an important mission in the field of derivatives.I highly recommend it.

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