Product Information
The financial crisis destroyed long-cherished notions of risk and how to manage it. In its wake, CFOs and Treasurers face a world where constants are no longer sure to hold, markets can no longer be certain to price and no position is risk free. As a result, corporations around the world increasingly recognise the value in paying even more attention to managing financial risks. Deciding to hedge may seem a logical way to do this. But how exactly do you hedge financial risks? How should your debt be structured? How do you determine which risks to hedge first, and which ones (if any) should be left unhedged? With the scrutiny of risk management and market uncertainty at all-time highs, The Handbook of Corporate Financial Risk Management, written by Stanley Myint and Fabrice Famery of BNP Paribas, addresses these very real problems, providing a detailed guide to the financial risks faced by corporates, and how to manage them. The book contains a unique set of case studies drawing on real-life industry experience and is organised around the challenges treasurers and treasuries face every day: Funding Interest rate and inflation risks Currency risk Credit risk M&A related risks Commodity risk This book is an essential resource for all risk management professionals and practitioners - treasurers, CFOs, CROs, CEOs, FDs, traders; accountants, consultants; corporate bankers, coverage officers, corporate financiers, private equity investors; academics and students in the field of corporate risk management.Product Identifiers
PublisherRisk Books
ISBN-139781906348922
eBay Product ID (ePID)154402022
Product Key Features
Number of Pages379 Pages
Publication NameThe Handbook of Corporate Financial Risk Management
LanguageEnglish
SubjectFinance
Publication Year2012
TypeTextbook
AuthorStanley Myint, Fabrice Famery
FormatHardcover
Dimensions
Item Height235 mm
Item Width155 mm
Additional Product Features
EditorStanley Myint, Fabrice Famery
Country/Region of ManufactureUnited Kingdom