Cantitate/Preț
Produs

Commodity Risk Management: Theory and Application

Autor Geoffrey Poitras
en Limba Engleză Paperback – 25 ian 2013
Commodity Risk Management goes beyond just an introductory treatment of derivative securities, dealing with more advanced topics and approaching the subject matter from a unique perspective. At its core lies the concept that commodity risk management decisions require an in-depth understanding of speculative strategies, and vice versa. The book offers readers a unified treatment of important concepts and techniques that are useful in applying derivative securities in the management of risk in commodity markets. While some of these techniques are well known and fairly common, Poitras offers applications to specific situations and links to speculative trading strategies - extensions of the material that not only are hard to come by, but helpful to both the academic and the practitioner.
The book is divided into three parts. The first part deals with the general framework for commodity risk management, the second part focuses on the use of derivative security contracts in commodity risk management, and the third part deals with applications to three specific situations.
As a textbook, this book is designed to appeal to classes at a senior undergraduate/MBA/MA levelof training in Finance, financial economics, actuarial science, management science, agriculturaleconomics and accounting. There will also be interest for the book as: a monograph for research libraries, a handbook for individuals working in the commodity risk management industry, and a guidebook for those in the general public interested in topics like farm risk management or the assessment of hedging practices of publicly-traded commodity producers.
Citește tot Restrânge

Toate formatele și edițiile

Toate formatele și edițiile Preț Express
Paperback (1) 41216 lei  6-8 săpt.
  Taylor & Francis – 25 ian 2013 41216 lei  6-8 săpt.
Hardback (1) 76571 lei  6-8 săpt.
  Taylor & Francis – 22 ian 2013 76571 lei  6-8 săpt.

Preț: 41216 lei

Preț vechi: 53307 lei
-23% Nou

Puncte Express: 618

Preț estimativ în valută:
7888 8373$ 6573£

Carte tipărită la comandă

Livrare economică 26 decembrie 24 - 09 ianuarie 25

Preluare comenzi: 021 569.72.76

Specificații

ISBN-13: 9780415879309
ISBN-10: 0415879302
Pagini: 424
Ilustrații: 75 tables, 24 halftones, 42 line drawings and Grant template
Dimensiuni: 178 x 254 x 23 mm
Greutate: 0.75 kg
Ediția:New.
Editura: Taylor & Francis
Colecția Routledge
Locul publicării:Oxford, United Kingdom

Cuprins

I. Commodity Risk Basics  1.1. The Commodity Risk Landscape  1.2 History of Commodity Risk Management  1.3  Recent Commodity Derivative Debacles  II. Commodity Risk Management Concepts  2.1 Measuring Risk and Exposure  2.2 Optimal Risk Management Decisions  2.3 Strategic Risk management  III. Risk Management Applications  3.1 Base Metal Mining  3.2 Oil and Gas Exploration and Development  3.3 Airlines and Jet Fuel Hedging

Descriere

This book aims to cover the following general topics: development and assessment of theories for evaluating commodity risk; the role of derivative securities in managing commodity risk; and, an assessment of the actual management of commodity risk in specific situations. The primary contribution of the book is the explicit development of the often overlooked connection between risk management and speculation. The central theme is to demonstrate that commodity risk management decisions require an in depth understanding of speculative strategies. To this end, this book aims to provide a unified treatment of important concepts and techniques that are useful in applying derivative securities in the management of risk arising in commodity markets.