Hedging Instruments And Risk Management

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Hedging Instruments and Risk Management

Author : Patrick Cusatis,Martin Thomas
Publisher : McGraw Hill Professional
Page : 396 pages
File Size : 54,8 Mb
Release : 2005-02-22
Category : Business & Economics
ISBN : 0071454535

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Hedging Instruments and Risk Management by Patrick Cusatis,Martin Thomas Pdf

Books on complex hedging instruments are often more confusing than the instruments themselves. Hedging Instruments & Risk Management brings clarity to the topic, giving money managers the straightforward knowledge they need to employ hedging tools and techniques in four key markets—equity, currency, fixed income, and mortgage. Using real-world data and examples, this high-level book shows practitioners how to develop a common set of mathematical and statistical tools for hedging in various markets and then outlines several hedging strategies with the historical performance of each.

Fuel Hedging and Risk Management

Author : Simo M. Dafir,Vishnu N. Gajjala
Publisher : John Wiley & Sons
Page : 312 pages
File Size : 54,6 Mb
Release : 2016-03-11
Category : Business & Economics
ISBN : 9781119026730

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Fuel Hedging and Risk Management by Simo M. Dafir,Vishnu N. Gajjala Pdf

A hands-on guide to navigating the new fuel markets Fuel Hedging and Risk Management: Strategies for Airlines, Shippers and Other Consumers provides a clear and practical understanding of commodity price dynamics, key fuel hedging techniques, and risk management strategies for the corporate fuel consumer. It covers the commodity markets and derivative instruments in a manner accessible to corporate treasurers, financial officers, risk managers, commodity traders, structurers, as well as quantitative professionals dealing in the energy markets. The book includes a wide variety of key topics related to commodities and derivatives markets, financial risk analysis of commodity consumers, hedge program design and implementation, vanilla derivatives and exotic hedging products. The book is unique in providing intuitive guidance on understanding the dynamics of forward curves and volatility term structure for commodities, fuel derivatives valuation and counterparty risk concepts such as CVA, DVA and FVA. Fully up-to-date and relevant, this book includes comprehensive case studies that illustrate the hedging process from conception to execution and monitoring of hedges in diverse situations. This practical guide will help the reader: Gain expert insight into all aspects of fuel hedging, price and volatility drivers and dynamics. Develop a framework for financial risk analysis and hedge programs. Navigate volatile energy markets by employing effective risk management techniques. Manage unwanted risks associated with commodity derivatives by understanding liquidity and credit risk calculations, exposure optimization techniques, credit charges such as CVA, DVA, FVA, etc.

Energy Risk Management

Author : Peter C. Fusaro
Publisher : McGraw Hill Professional
Page : 290 pages
File Size : 45,6 Mb
Release : 1998
Category : Business & Economics
ISBN : 0786311843

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Energy Risk Management by Peter C. Fusaro Pdf

Addressing the important issues of worldwide energy price risk management, this work assembles the leading industry figures to explain general theories and practices for hedging risk, and specific methods to effectively manage risk in markets such as coal, natural gas, electricity, and hydropower.

Hedging Market Exposures

Author : Oleg V. Bychuk,Brian Haughey
Publisher : John Wiley & Sons
Page : 322 pages
File Size : 54,7 Mb
Release : 2011-06-28
Category : Business & Economics
ISBN : 9781118085370

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Hedging Market Exposures by Oleg V. Bychuk,Brian Haughey Pdf

Identify and understand the risks facing your portfolio, how to quantify them, and the best tools to hedge them This book scrutinizes the various risks confronting a portfolio, equips the reader with the tools necessary to identify and understand these risks, and discusses the best ways to hedge them. The book does not require a specialized mathematical foundation, and so will appeal to both the generalist and specialist alike. For the generalist, who may not have a deep knowledge of mathematics, the book illustrates, through the copious use of examples, how to identify risks that can sometimes be hidden, and provides practical examples of quantifying and hedging exposures. For the specialist, the authors provide a detailed discussion of the mathematical foundations of risk management, and draw on their experience of hedging complex multi-asset class portfolios, providing practical advice and insights. Provides a clear description of the risks faced by managers with equity, fixed income, commodity, credit and foreign exchange exposures Elaborates methods of quantifying these risks Discusses the various tools available for hedging, and how to choose optimal hedging instruments Illuminates hidden risks such as counterparty, operational, human behavior and model risks, and expounds the importance and instability of model assumptions, such as market correlations, and their attendant dangers Explains in clear yet effective terms the language of quantitative finance and enables a non-quantitative investment professional to communicate effectively with professional risk managers, "quants", clients and others Providing thorough coverage of asset modeling, hedging principles, hedging instruments, and practical portfolio management, Hedging Market Exposures helps portfolio managers, bankers, transactors and finance and accounting executives understand the risks their business faces and the ways to quantify and control them.

Financial Risk Management and Derivative Instruments

Author : Michael Dempsey
Publisher : Routledge
Page : 236 pages
File Size : 44,6 Mb
Release : 2021-05-17
Category : Business & Economics
ISBN : 9781000386172

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Financial Risk Management and Derivative Instruments by Michael Dempsey Pdf

Financial Risk Management and Derivative Instruments offers an introduction to the riskiness of stock markets and the application of derivative instruments in managing exposure to such risk. Structured in two parts, the first part offers an introduction to stock market and bond market risk as encountered by investors seeking investment growth. The second part of the text introduces the financial derivative instruments that provide for either a reduced exposure (hedging) or an increased exposure (speculation) to market risk. The fundamental aspects of the futures and options derivative markets and the tools of the Black-Scholes model are examined. The text sets the topics in their global context, referencing financial shocks such as Brexit and the Covid-19 pandemic. An accessible writing style is supported by pedagogical features such as key insights boxes, progressive illustrative examples and end-of-chapter tutorials. The book is supplemented by PowerPoint slides designed to assist presentation of the text material as well as providing a coherent summary of the lectures. This textbook provides an ideal text for introductory courses to derivative instruments and financial risk management for either undergraduate, masters or MBA students.

Hedging Practices

Author : Fabrizio Casaretto
Publisher : Independently Published
Page : 210 pages
File Size : 46,6 Mb
Release : 2018-03-09
Category : Business & Economics
ISBN : 1980513473

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Hedging Practices by Fabrizio Casaretto Pdf

Uncontrolled risks may lead to disaster. Uncertainties in prices should be managed in line with needs that are not uncertain.Starting with some educational information, then through Commercial and Financial practice examples, this book explains that by eliminating some risks, strong commercial activities and investments can be made and a solid future can be built. Fabrizio Casaretto, an Italian and French Levantine native to Istanbul, received his degree in Econometrics in France. After a brief experience in insurance, he broke into the world of Commodity Trading with Cargill. After several years of trading physical products and hedging with derivative tools, he has moved into the Energy sector to trade Fuels. Working in Turkey, a market with high volatility in commodity prices and currencies, he has mastered his hedging skills. Eventually, he made founding partner to a portfolio management company.Currently, Casaretto trades solid fuels and provides risk management consultancy to industries and trading companies. He is also a private consultant in derivative markets to a law firm and an instructor at a local University. He has decided to write this book in order to share his knowledge with professionals in commodity and financial markets, and also to be helpful to students aiming a career in this field."Learning financial risk management has become a prerequisite to protect your money in volatile financial markets, or at least to limit the losses you might incur.(...) This book will take the reader beyond financial literacy." Ali Agaoglu / Columnist, Vatan Newspaper"This is a wonderful guidebook on using complicated financial instruments such as derivatives instruments, which are more and more commonly encountered in our risk-laden world. (...)"Prof. Dr. Erdinc Altay / Istanbul University, Faculty of Economics"Futures and options contracts are the sine qua non of Risk Management, (...) this book has filled an important void in this area."Mustafa Yaman Basaran / Former Deputy General Manager of Futures and Options Exchange (VOB)

Accounting for Risk, Hedging and Complex Contracts

Author : A. Rashad Abdel-Khalik
Publisher : Routledge
Page : 592 pages
File Size : 54,9 Mb
Release : 2013-10-08
Category : Business & Economics
ISBN : 9781136489297

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Accounting for Risk, Hedging and Complex Contracts by A. Rashad Abdel-Khalik Pdf

With the exponential growth in financial derivatives, accounting standards setters have had to keep pace and devise new ways of accounting for transactions involving these instruments, especially hedging activities. Accounting for Risk, Hedging and Complex Contracts addresses the essential elements of these developments, exploring accounting as related to today's most relevant topics - risk, hedging, insurance, reinsurance, and more. The book begins by providing a basic foundation by discussing the concepts of risk, risk types and measurement, and risk management. It then introduces readers to the nature and valuation of free standing options, swaps, forward and futures as well as of embedded derivatives. Discussion and illustrations of the cash flow hedge and fair value hedge accounting treatments are offered in both single currency and multiple currency environments, including hedging net investment in foreign operations. The final chapter is devoted to the disclosure of financial instruments and hedging activities. The combination of these topics makes the book a must-have resource and reference in the field. With discussions of the basic tools and instruments, examinations of the related accounting, and case studies to help students apply their knowledge, this book is an essential, self-contained source for upper-level undergraduate and masters accounting students looking develop an understanding of accounting for today’s financial realities.

Derivatives as efficient Risk Management instruments - Application to Commodity Markets

Author : Viktor Tielmann
Publisher : GRIN Verlag
Page : 97 pages
File Size : 52,7 Mb
Release : 2011-12-07
Category : Business & Economics
ISBN : 9783656078180

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Derivatives as efficient Risk Management instruments - Application to Commodity Markets by Viktor Tielmann Pdf

Masterarbeit aus dem Jahr 2011 im Fachbereich BWL - Bank, Börse, Versicherung, Hochschule Fulda, Sprache: Deutsch, Abstract: The following categorized introduction attempts to give an intelligible overview of the present Master Thesis. At first the purpose of this study will be explained, including the illustration of the importance of a commodity risk management for companies as well as the rising importance of commodity markets. Additionally the stakeholders and objectives will be presented, followed by a comprehensive structure of this Thesis.

The Professional Risk Managers Guide to Financial Instruments

Author : Professional Risk Managers International Association (PRMIA)
Publisher : Mcgraw-hill
Page : 400 pages
File Size : 46,9 Mb
Release : 2007-12-21
Category : Business & Economics
ISBN : 0071546499

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The Professional Risk Managers Guide to Financial Instruments by Professional Risk Managers International Association (PRMIA) Pdf

Techniques for pricing, hedging and trading The Professional Risk Managers Guide to Financial Instruments will show you how manage the risk of the complex instruments offered to investors. Sponsored by PRMIA and edited by risk management experts Carol Alexander and Elizabeth Sheedy, this authoritative resource features contributions from eleven global experts who explore the major financial instruments, the valuation methods most appropriate for each, and strategies for assessing the associated market risks. The Professional Risk Managers Guide to Financial Instruments offers step-by-step guidance in: The main types of bonds Futures and forward contracts Caps, floors, and interest rate options Swaps and swaptions Convertible bonds and other hybrid instruments Options, including exotic and path dependent pay-offs Using instruments for hedging and speculation

The Professional Risk Managers' Guide to Financial Instruments

Author : Professional Risk Managers' International Association (PRMIA)
Publisher : McGraw Hill Professional
Page : 314 pages
File Size : 49,6 Mb
Release : 2007-12-21
Category : Business & Economics
ISBN : 9780071631648

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The Professional Risk Managers' Guide to Financial Instruments by Professional Risk Managers' International Association (PRMIA) Pdf

Techniques for pricing, hedging and trading The Professional Risk Managers' Guide to Financial Instruments will show you how manage the risk of the complex instruments offered to investors. Sponsored by PRMIA and edited by risk management experts Carol Alexander and Elizabeth Sheedy, this authoritative resource features contributions from eleven global experts who explore the major financial instruments, the valuation methods most appropriate for each, and strategies for assessing the associated market risks. The Professional Risk Managers' Guide to Financial Instruments offers step-by-step guidance in: The main types of bonds Futures and forward contracts Caps, floors, and interest rate options Swaps and swaptions Convertible bonds and other hybrid instruments Options, including exotic and path dependent pay-offs Using instruments for hedging and speculation

Hedging Interest-rate Exposures

Author : Brian Coyle
Publisher : Global Professional Publishi
Page : 172 pages
File Size : 47,9 Mb
Release : 2001
Category : Business & Economics
ISBN : 0852974450

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Hedging Interest-rate Exposures by Brian Coyle Pdf

� Worked examples illustrating key points � Explanation of complex or obscure terms � Full glossary of terms The titles in this series, all previously published by BPP Training, are now available in entirely updated and reformatted editions. Each offers an international perspective on a particular aspect of risk management. Topics include interest-rate risk, identifying interest-rate exposures, hedging policy, forward rate agreements, structural hedging, and hedging with derivative instruments and interest-rate futures, options and swaps

Commodity Risk Management

Author : Geoffrey Poitras
Publisher : Routledge
Page : 426 pages
File Size : 42,7 Mb
Release : 2013-03-05
Category : Business & Economics
ISBN : 9781136262609

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Commodity Risk Management by Geoffrey Poitras Pdf

Commodity Risk Management goes beyond just an introductory treatment of derivative securities, dealing with more advanced topics and approaching the subject matter from a unique perspective. At its core lies the concept that commodity risk management decisions require an in-depth understanding of speculative strategies, and vice versa. The book offers readers a unified treatment of important concepts and techniques that are useful in applying derivative securities in the management of risk in commodity markets. While some of these techniques are well known and fairly common, Poitras offers applications to specific situations and links to speculative trading strategies - extensions of the material that not only are hard to come by, but helpful to both the academic and the practitioner. The book is divided into three parts. The first part deals with the general framework for commodity risk management, the second part focuses on the use of derivative security contracts in commodity risk management, and the third part deals with applications to three specific situations. As a textbook, this book is designed to appeal to classes at a senior undergraduate/MBA/MA levelof training in Finance, financial economics, actuarial science, management science, agriculturaleconomics and accounting. There will also be interest for the book as: a monograph for research libraries, a handbook for individuals working in the commodity risk management industry, and a guidebook for those in the general public interested in topics like farm risk management or the assessment of hedging practices of publicly-traded commodity producers.

Energy Trading and Risk Management

Author : Iris Marie Mack
Publisher : John Wiley & Sons
Page : 309 pages
File Size : 43,8 Mb
Release : 2014-04-07
Category : Business & Economics
ISBN : 9781118339343

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Energy Trading and Risk Management by Iris Marie Mack Pdf

A comprehensive overview of trading and risk management in the energy markets Energy Trading and Risk Management provides a comprehensive overview of global energy markets from one of the foremost authorities on energy derivatives and quantitative finance. With an approachable writing style, Iris Mack breaks down the three primary applications for energy derivatives markets – Risk Management, Speculation, and Investment Portfolio Diversification – in a way that hedge fund traders, consultants, and energy market participants can apply in their day to day trading activities. Moving from the fundamentals of energy markets through simple and complex derivatives trading, hedging strategies, and industry-specific case studies, Dr. Mack walks readers through energy trading and risk management concepts at an instructive pace, supporting her explanations with real-world examples, illustrations, charts, and precise definitions of important and often-misunderstood terms. From stochastic pricing models for exotic derivatives, to modern portfolio theory (MPT), energy portfolio management (EPM), to case studies dealing specifically with risk management challenges unique to wind and hydro-electric power, the bookguides readers through the complex world of energy trading and risk management to help investors, executives, and energy professionals ensure profitability and optimal risk mitigation in every market climate. Energy Trading and Risk Management is a great resource to help grapple with the very interesting but oftentimes complex issues that arise in energy trading and risk management.

Risk Management

Author : Satyajit Das
Publisher : John Wiley & Sons
Page : 1358 pages
File Size : 47,9 Mb
Release : 2006
Category : Business & Economics
ISBN : CORNELL:31924100604580

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Risk Management by Satyajit Das Pdf

The Das Swaps & Financial Derivatives Library - Third Edition Revised is the successor to Swaps & Financial Derivatives, which was first published in 1989 (as Swap Financing).

The Hedge Fund Compliance and Risk Management Guide

Author : Armelle Guizot
Publisher : John Wiley & Sons
Page : 466 pages
File Size : 51,9 Mb
Release : 2006-10-25
Category : Business & Economics
ISBN : 9780470086049

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The Hedge Fund Compliance and Risk Management Guide by Armelle Guizot Pdf

The Hedge Fund Compliance and Risk Management Guide provides you with a broad examination of the most important compliance and risk management issues associated with today’s hedge funds. Straightforward and accessible, this invaluable resource covers everything from how hedge funds continue to generate lucrative returns to why some use sophisticated instruments and financial engineering to get around fundamental regulatory laws.