Corporate foreign exchange risk management

"Corporate Foreign Exchange Risk Management offers a highly accessible yet thorough guide to FX exposure management that will appeal to anyone with who is responsible for managing a profit & loss or balance sheet affected by FX fluctuations or who wants to understand how FX fluctuations aff...

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Bibliographische Detailangaben
1. Verfasser: Jankensgård, Håkan (VerfasserIn)
Weitere Verfasser: Alviniussen, Alf (VerfasserIn), Oxelheim, Lars (VerfasserIn)
Format: UnknownFormat
Sprache:eng
Veröffentlicht: Chichester, West Sussex Wiley 2020
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Beschreibung
Zusammenfassung:"Corporate Foreign Exchange Risk Management offers a highly accessible yet thorough guide to FX exposure management that will appeal to anyone with who is responsible for managing a profit & loss or balance sheet affected by FX fluctuations or who wants to understand how FX fluctuations affect the firm more generally. The effective FX risk manager needs to be able to navigate both the worlds of financial management and economics. Whereas academics tend to talk about the economics of the risk management decision, the reality for the corporate manager is a strong and never-ending attention on performance metrics heavily impacted by accounting rules. This book is about bridging and demystifying these two worlds and equipping the manager with the tools and knowledge to deal effectively with a broad range of matters related to foreign exchange risk management"--
Beschreibung:Includes bibliographical references and index
Beschreibung:xviii, 213 Seiten
ISBN:9781119598862
978-1-119-59886-2