Mastering interest rate risk strategy : a practical guide to managing corporate financial risk / Victor Macrae.
Material type:
Item type | Current library | Call number | Copy number | Status | Notes | Date due | Barcode |
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Female Library | HG6024.5 .M33 2015 (Browse shelf (Opens below)) | 1 | Available | STACKS | 51952000327363 | |
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Main Library | HG6024.5 .M33 2015 (Browse shelf (Opens below)) | 1 | Available | STACKS | 51952000327370 |
Includes bibliographical references (pages 205-206) and index.
Acknowledgements -- About the author -- Preface -- Introduction -- Key learning points from past derivatives blunders -- Understanding the firm's exposure to interest rate risk -- Four sources of exposure to interest rate risk -- Bank financing as primary source of exposure -- Measuring the impact of interest rate risk on the firm -- The financial markets -- Financial statement impact from interest rate movements -- Hedging makes sense under specific circumstances only -- Hedging theory -- Selecting the best possible derivative -- Interest rate derivatives -- Linear derivatives -- Options -- How to formulate the optimal strategy : the analytical method -- The macrae risk reduction rules(R) -- Afterword -- Appendix i: central case, trader -- Appendix ii: proof of the analytical method -- Appendix iii: MiFID customer protection regulations regarding derivatives -- Notes -- Glossary -- Index.
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