Hedging

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Hedging:

Книжный магазин
Большой выбор книг в интернет-магазине
Бюджетирование
Ресурсное и финансовое планирование при составлении бюджета предприятия
План производства
Оптимизация многовариантного производства при ресурсных ограничениях
Себестоимость
Калькулирование плановой и фактической себестоимостей продукции и услуг
Финансовый анализ
Анализ бухгалтеской отчетности в MS Excel в документы MS Word
Самиздат
Статьи и публикации наших партнеров

Energy Hedging in Asia : Market Structure and Trading Opportunites (Finance and Capital Markets) Energy Hedging in Asia : Market Structure and Trading Opportunites (Finance and Capital Markets) Book Description This book focuses on the latest developments in the Asia-Pacific community in terms of how deregulation and privatization are bringing more risk to energy companies. In the light of these market changes, interest in energy risk management has grown substantially and is becoming a fiduciary responsibility of energy companies. As energy trading, power exchanges and hedging techniques establish themselves in the oil, power and gas sectors, so then do newer derivatives markets emerge in LNG hedging, whether derivatives or freight hedging. Fusaro and James, as seasoned market practitioners in the region, focus on these market changes and examine the future of Asian energy hedging.
Currency Derivatives : Pricing Theory, Exotic Options, and Hedging Applications (Wiley Series in Financial Engineering) Currency Derivatives : Pricing Theory, Exotic Options, and Hedging Applications (Wiley Series in Financial Engineering) A groundbreaking collection on currency derivatives, including pricing theory and hedging applications. "David DeRosa has assembled an outstanding collection of works on foreign exchange derivatives. It surely will become required reading for both students and option traders."—Mark B. Garman President, Financial Engineering Associates, Inc. Emeritus Professor, University of California, Berkeley. "A comprehensive selection of the major references in currency option pricing."—NassimTaleb. Senior trading advisor, Paribas Author, Dynamic Hedging: Managing Vanilla and Exotic Options. "A useful compilation of articles on currency derivatives, going from the essential to the esoteric."—Philippe Jorion Professor of Finance, University of California, Irvine Author, Value at Risk: The New Benchmark for Controlling Market Risk. Every investment practitioner knows of the enormous impact that the Black-Scholes option pricing model has had on investment and...
Extreme Value Hedging Extreme Value Hedging PRAISE FOR EXTREME VALUE HEDGING "An intelligent, well–researched, and very useful book. Experts and laymen alike will find it eye–opening." —JEFFREY H. BIRNBAUM, The Washington Post "Love them or hate them, activist hedge funds are having a significant impact on the American and global corporate economies. Ron Orol?s detailed and thoughtful book is required reading for anybody who wants to understand what these funds are, how they work, and the various good and bad effects they can have on corporate performance." —LAWRENCE E. MITCHELL, Theodore Rinehart Professor of Business Law at George Washington University, author of The Speculation Economy "Provides breadth, insight, and a worldwide perspective on one of our most dramatic capital market developments—the rise of the activist hedge fund. The book is essential reading for those who want to understand the current economic scene." —HARVEY J. GOLDSCHMID, Dwight Professor of Law at Columbia Law School, former...
Property Derivatives: Pricing, Hedging and Applications (The Wiley Finance Series) Property Derivatives: Pricing, Hedging and Applications (The Wiley Finance Series) Property derivatives have the potential to revolutionize real estate - the last major asset class without a liquid derivatives market. The new instruments offer ease and flexibility in the management of property risk and return. Property funds, insurance companies, pension and life funds, speculators, hedge funds or any asset manager with a view on the real estate market can apply the new derivatives to hedge property risk, to invest synthetically in real estate, or for portfolio optimization. Moreover, developers, builders, home suppliers, occupiers, banks, mortgage lenders and governmental agencies can better cope with their real estate exposure using property derivatives. This book is a practical introduction to property derivatives and their numerous applications. Providing a comprehensive overview of the property derivatives market and indices, there is also in-depth coverage of pricing, hedging and risk management, which will deepen the readers...
Currency Strategy: A Practitioner Currency Strategy: A Practitioner's Guide to Currency Trading, Hedging and Forecasting John Maynard Keynes’ reference to the ‘animal spirits’, that elemental force which drives financial markets in herd-like fashion, was applied to the stock market. However, he might as well have been referring to the currency market, forthe term sums up no other more perfectly. A market that is volatile and unpredictable, a market that epitomises such a concept as the ‘animal spirits’, surely requires a very specific discipline by which to study it. This is preciselywhat Callum Henderson does in this eminently practical and readable book. He provides an analytical framework for currency analysis and forecasting, combining long-term economic valuation models with market-based valuation techniques to produce a more accurate and user-friendly analytical tool for the currency market practitioners themselves. Written by a market practitioner for fellow professionals whose job is to turn the theory into practice and actually execute the currency...
Currency Strategy: The Practitioner Currency Strategy: The Practitioner's Guide to Currency Investing, Hedging and Forecasting Currency Strategy, Second Edition develops new techniques and explains classic tools available for predicting, managing, and optimizing fluctuations in the currency markets. Author Callum Henderson shows readers ho to use mathematical models to assist in the prediction of crises and gives practical advice on how to use these and other tools successfully. Given there such huge focus on China at the moment, the timing of this new edition is particularly important. The new edition will feature a thorough update on the key developments in the past 3 years, new chapters on emerging markets, an in-depth review of the markets of China and India and their currencies and much more.
Risk Quantification: Management, Diagnosis and Hedging (The Wiley Finance Series) Risk Quantification: Management, Diagnosis and Hedging (The Wiley Finance Series) This book offers a practical answer for the non-mathematician to all the questions any businessman always wanted to ask about risk quantification, and never dare to ask. Enterprise-wide risk management (ERM) is a key issue for board of directors worldwide. Its proper implementation ensures transparent governance with all stakeholders’ interests integrated into the strategic equation. Furthermore, Risk quantification is the cornerstone of effective risk management,at the strategic and tactical level, covering finance as well as ethics considerations. Both downside and upside risks (threats & opportunities) must be assessed to select the most efficient risk control measures and to set up efficient risk financing mechanisms. Only thus will an optimum return on capital and a reliable protection against bankruptcy be ensured, i.e. long term sustainable development. Within the ERM framework, each individual operational entity is called upon to control its...
Advanced Options Trading: The Analysis and Evaluation of Trading Strategies, Hedging Tactics & Pricing Models Advanced Options Trading: The Analysis and Evaluation of Trading Strategies, Hedging Tactics & Pricing Models This book thoroughly explains the options markets. Moreover, the work contains several unique features, including computer codes to calculate changes in options properties and a historic evaluation of options strategies and pricing theories. As a result, traders learn what works and what doesn't work. Specific features include: Exotic options; The factors influencing option pricing; Advanced trading strategies such as spreads and straddles; The importance of delta, gamma and theta; Risk management with options.
Fundamentals of Trading Energy Futures and Options Fundamentals of Trading Energy Futures and Options In today?s changing political and economic environment, it is increasingly important that companies learn to properly use various trading instruments to protect themselves against price volatility. Since the first successful energy futures contract was introduced almost a quarter century ago, trading in energy futures and options has played an important role in hedging against fluctuations in the price of petroleum products, crude oil, natural gas, propane, electricity, and most recently, coal. In this 2nd edition of their best-selling primer, authors Steven Errera and Stewart L. Brown explain how exchange traded futures and options markets work, and how companies can successfully use the markets in their overall strategy to increase profitability. They cover everything from market mechanics, hedging, spread trading, and technical trading to the history and growth of the markets. Also included in an extensive appendix detailing contract specifications for thirteen energy...
Create Your Own Hedge Fund: Increase Profits and Reduce Risks with ETFs and Options (Wiley Trading) Create Your Own Hedge Fund: Increase Profits and Reduce Risks with ETFs and Options (Wiley Trading) Discover a practical trading strategy that combines options and ETFs. Create Your Own Hedge Fund explains how exchange-traded funds can be used in conjunction with an options strategy to attain steady growth. Beginning with a tutorial on options and ETFs, the book goes on to describe both investment approaches in great detail providing you with a trading strategy that generates higher returns than buy-and-hold investing -- and allows you to reduce risk by adopting a hedging strategy. Filled with in-depth insights and expert advice, this book is intended for you if you're a sophisticated individual investor or a professional investor, trader, or other money manager looking to update your arsenal of investment tools. Order your copy today!