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Alastair Graham
"This introduction to the Currency Risk series of books explains the nature of risk, how it is measured and the short and long-term implications for business. It examines the concept of a broad policy towards currency risk management and in particular whether a business should seek to limit or hedge its exposure. A description is given of transaction, translation and economic exposure and methods for quantifying with a view to establishing a risk management strategy."--BOOK JACKET.
| Publisher | Taylor & Francis Group |
|---|---|
| Search language | english |
| ISBN_13 | 978-1-135-95725-4 primary |
Publication-specific alternatives linked to the same work.
Introduction to Currency Risk (Currency Risk Management Series)
Introduction to Currency Risk
Introduction to Currency Risk
Introduction to Currency Risk
Introduction to Currency Risk