Managing Risk in the Foreign Exchange, Money and Derivative Markets - Tapa dura

Riehl, Heinz

 
9780070526730: Managing Risk in the Foreign Exchange, Money and Derivative Markets

Sinopsis

In praise of "Managing Risk in the Foreign Exchange, Money, and Derivative Markets" - 'Heinz is a true master in explaining risk management. He taught me Zenlike insights into global market risks. This book gives others the opportunity to benefit from his unique style and years of experience' - Andrew Sheng, Deputy Chief Executive, Hong Kong Monetary Authority. 'A clear and thorough explanation of risk management made simple and easy to understand through extensive use of analogies. The topics covered are practical, dealing with real-life situations arising in the financial markets. Highly recommended!' - Michael E. deSa, Head of Global Foreign Exchange, Deutsche Bank.'Heinz Riehl is that exceptional expert practitioner who can actually explain what he does in a clear, straightforward way that is both informative and engaging. This book will be a valuable resource not only for those who initiate financial transactions, but also for those in the public and private sector who must supervise them' - Dr. Richard Herring, Vice Dean, Wharton School. 'Heinz Riehl is one of the world's leading authorities on risk management. In this book, Mr. Riehl gives his readers a better understanding of the risks contained in the portfolios of financial institutions. He provides the tools necessary to better understand and manage risk. This book should be read by everyone who is involved with or interested in a better understanding of the management of financial products. It will quickly become required reading by market participants' - David W. Puth, Managing Director, Foreign Exchange and Derivatives, The Chase Manhattan Bank.

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Acerca del autor

McGraw-Hill authors represent the leading experts in their fields and are dedicated to improving the lives, careers, and interests of readers worldwide

De la contraportada

In praise of Managing Risk in the Foreign Exchange, Money, andDerivative Markets. "Heinz is a true master in explaining riskmanagement. He taught me Zenlike insights into global market risks.This book gives others the opportunity to benefit from his uniquestyle and years of experience."--Andrew Sheng, Deputy Chief Executive,Hong Kong Monetary Authority. "A clear and thorough explanation ofrisk management made simple and easy to understand through extensiveuse of analogies. The topics covered are practical, dealing withreal-life situations arising in the financial markets. Highlyrecommended!"--Michael E. deSa, Head of Global Foreign Exchange,Deutsche Bank. "Heinz Riehl is that exceptional expert practitioner whocan actually explain what he does in a clear, straightforward way thatis both informative and engaging. This book will be a valuableresource not only for those who initiate financial transactions, butalso for those in the public and private sector who must supervisethem."--Dr. Richard Herring, Vice Dean, Wharton School. "Heinz Riehlis one of the world's leading authorities on risk management. In thisbook, Mr. Riehl gives his readers a better understanding of the riskscontained in the portfolios of financial institutions. He provides thetools necessary to better understand and manage risk. This book shouldbe read by everyone who is involved with or interested in a betterunderstanding of the management of financial products. It will quicklybecome required reading by market participants."--David W. Puth,Managing Director, Foreign Exchange and Derivatives, The ChaseManhattan Bank.

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