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Risk Management, Derivatives, and Financial Analysis under SFAS No. 133

Risk Management, Derivatives, and Financial Analysis under SFAS No. 133

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Author: Donald J. Smith, And Rebecca Todd, Cfa Gary L. Gastineau
Publisher: Research Foundation of AIMR & Blackwell Publishers
Category: Book

Buy New: $35.00



New (1) Used (3) from $29.99

Sales Rank: 636183

Media: Paperback
Pages: 120
Number Of Items: 1
Shipping Weight (lbs): 0.5
Dimensions (in): 8.8 x 6.2 x 0.3

ISBN: 0943205514
Dewey Decimal Number: 657.75
EAN: 9780943205519

Publication Date: February 1, 2001
Availability: Usually ships in 24 hours

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Editorial Reviews:

Product Description
The authors begin this monograph by providing an overview of the elements of risk management and then delve into the specifics of derivative and hedging activity under SFAS No. 133. They conclude by coming full circle and discussing the implications for financial analysts of a firm's risk management practices and its derivative and hedging activity. Although no single work can be an exhaustive discussion of risk management, derivatives, and SFAS No. 133, this monograph fills in many of the gaps and sets a precedent of clarity and usefulness for others to follow.

 
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