
Managing Interest Rate Risk
Whether borrowing, investing, saving or trading, a company will always have to take into account the cost of capital and therefore interest rate risk. The efficient management of this risk is essential for the survival of a company and any business that is exposed to such a risk should ensure that it is fully prepared to manage it.
Aimed at senior managers within businesses, this book is a practical primer on how to reduce risk from changes in interest rates.
- Alaotsikko
- Using Financial Derivatives
- Kirjailija
- John J. Stephens
- ISBN
- 9780471485490
- Kieli
- englanti
- Paino
- 539 grammaa
- Julkaisupäivä
- 28.1.2002
- Kustantaja
- John Wiley Sons Inc
- Sivumäärä
- 204