Derivatives & Risk Management Handbook 2005 / 06
 
Report

Derivatives & Risk Management Handbook 2005 / 06An inexpensive and insightful publication that will prove interesting for risk managers and investors.

From:
$255
 
The biggest ever edition of Euromoney's specialist derivatives and risk management directory will enable risk managers and investors to take advantage of new investment opportunities to hedge risk.
Effective derivatives and risk management tools are pivotal to financial institutions' success in challenging times and over 30 chapters of editorial written by senior decision-makers in the marketplace will give you advanced warning of future economic trends, giving you time to adjust your strategy.

The Handbook also charts the rise of emerging market derivatives, credit derivatives, the OTC derivatives market, hybrid capital and interest rate structured products.
Explore the predicted future developments of risk management, operational risk and risk management and governance, allowing you to make better informed investment decisions. Market reviews focus on regulation and developments in
Asia, Canada, China, India, Portugal, Italy, Japan, Eastern Europe
and the
US.

Source global contacts in the directory which lists over 1,700 individual contacts from financial institutions, law firms, consultancy and advisory firms, software providers, exchanges and associations.
The directory is fully updated and includes direct tel/fax numbers and e-mail addresses for the relevant personnel, making this an essential derivatives and risk management resource in one complete volume.


Report Details:
Publisher:
Euromoney II
Type:
Book - June 2005
First Publication Date:
10/6/2005
 
 
 
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