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Advanced Strategies in Financial Risk Management Book

Advanced Strategies in Financial Risk Management
Advanced Strategies in Financial Risk Management, Advanced Strategies in Financial Risk Management
Robert J. Schwartz, Clifford W. Smith, Jr.
 
 Advanced Strategies in Financial Risk Management should be read by all practitioners, students and regulators of the derivatives markets. It brings, Advanced Strategies in Financial Risk Management has a rating of 3 stars
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Advanced Strategies in Financial Risk Management, Advanced Strategies in Financial Risk Management Robert J. Schwartz, Clifford W. Smith, Jr. Advanced Strategies in Financial Risk Management should be read by all practitioners, students and regulators of the derivatives markets. It brings, Advanced Strategies in Financial Risk Management
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  • Advanced Strategies in Financial Risk Management
  • Written by author Robert J. Schwartz
  • Published by Prentice Hall Professional Technical Reference, May 1993
  • Advanced Strategies in Financial Risk Management Robert J. Schwartz, Clifford W. Smith, Jr. "Advanced Strategies in Financial Risk Management should be read by all practitioners, students and regulators of the derivatives markets. It brings
  • Advanced Strategies in Financial Risk Management brings together, from Wall Street, corporate finance, and the academic community--over 40 leading authorities with intimate knowledge of sophisticated, new financial risk management instruments and techniqu
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Authors

Foreword
Acknowledgments
About the Editors
Contributors
Introduction
Pt. 1Interest Rates1
1A Survey of Bond Option Pricing Models3
2Mean Reversion Interest Rate Modeling31
3Interest-Rate Options: Choosing a Model for Trading49
4The Pricing of Options on Interest-Rate Caps and Floors Using the Hull-White Model59
Pt. 2Exchange Rate69
5A Quick Algorithm for Pricing European Average Options71
6Currency Derivatives for the Investor89
Pt. 3Risk Management Techniques101
7The Use of Interest Rate Swaps in Managing Corporate Liabilities103
8The Uses of Hybrid Debt in Managing Corporate Risk129
9Risk Management in Banking147
10Option Replication Technology163
11Techniques for Managing a LIBOR-Plus Fund181
Pt. 4Innovative Applications193
12Environmental Futures: Preliminary Thoughts on the Market for Sulfur Dioxide Emission Allowances195
13Hedging Business Cycle Risk with Macro Swaps and Options213
14Equity Derivatives for Investors223
15Yield Curve Applications of Swap Products245
Pt. 5Systems and Credits267
16Visualization of Derivatives Risk269
17The Default Risk of Swaps295
Pt. 6Tax325
18Equity Derivative Products: Financial Innovation's Newest Challenge to the Tax System327
19Uncertain Futures: The Tax Treatment of Hedging377
Pt. 7Legal and Regulatory385
20A Review of International and U.S. Case Law Affecting Swaps and Related Derivative Products387
21Financial Innovation and Uncertain Regulation: Selected Issues Regarding New Product Development439
22Hybrid Instruments and the Commodity Exchange Act - A Practical Guide507
23US Hybrid Instruments: Evolving Legal and Economic Issues517
24The New Regulation of Hybrid Debt Instruments531
25Managing a Derivative Products Business from a Risk-Adjusted Perspective553
Pt. 8Accounting577
26Hedge Accounting: A State-of-the-Art Review579
27Accounting for Futures Contracts and the Effect on Earnings Variability591
28Characteristics of Hedging Firms: An Empirical Examination615
Glossary637
Chapter Note653
Index655


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Robert J. Schwartz, Clifford W. Smith, Jr.
 
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Robert J. Schwartz, Clifford W. Smith, Jr.
 
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Robert J. Schwartz, Clifford W. Smith, Jr.
 
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