Currency Risk Management (Volume 1 and 2)

Author: Royal Bank of England
Publisher: Not available
Publishing Time: Not available
Features: This book provides a detailed introduction to the buying and selling, as well as the use of foreign exchange futures from the perspective of currency risk management. It also covers the management of foreign exchange options and their application areas, as well as currency swaps, asset swaps, and how to conduct swaps. While offering theoretical explanations, it is supplemented with numerous cases and illustrations, and incorporates some practical issues that enterprises encounter when using options, futures, and swaps, enabling readers to gain a deeper understanding of the relevant content.

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