Description: Managing Foreign Exchange Risk by Richard J. Herring This is a collection of essays by academic experts from the fields of economics, finance, and accounting, and by several distinguished practitioners from international corporations and financial institutions. Together the essays present a broad, up-to-date survey of what we know about foreign exchange risk and how to cope with it. FORMAT Paperback LANGUAGE English CONDITION Brand New Publisher Description Since the early 1970s exchange volatility has increased markedly. This increased volatility is a major concern not only for government policy makers but also corporations engaged in international activities, because their profitability may be sharply altered by unanticipated exchange rate movements. This situation has posed a challenge to academic researchers, but over the past decade considerable progress has been made in our ability to understand the causes of exchange rate fluctuations and their impact on economic foreign exchange risk and to assess investment opportunities generated by exchange rate fluctuations. This book is a collection of essays by academic experts from the fields of economics, finance, and accounting, and by several distinguished practitioners from international corporations and financial institutions. Together the essays present a broad, up-to-date survey of what we know about foreign exchange risk and how to cope with it. Author Biography Richard Herring is director of the Joseph H. Lauder Institute of Management and International Studies and codirector of the Wharton Financial Institutions Center at the University of Pennsylvania. Table of Contents List of contributors; Acknowledgments; Introduction and overview Richard J. Herring; 1. Macroeconomic determinants of real exchange risk William H. Branson; Perspective: on exchange rate analysis and foreign exchange risk Marina v. N. Klein; 2. Modeling exchange rate fluctuations and international disturbances Lawrence R. Klein; Perspective: problems in modeling international risks Peter B. Kenen; 3. International portfolio diversification Haim Levy and Marshall Sarnat; perspective: international portfolio diversification: a practitioners point of view Henk A. Klein Haneveld; 4. The evaluation and use of foreign exchange rate forecasting services John F. O. Bilson; 5. Foreign currency accounting and its transition Yuji Ijiri; Perspective: some informal remarks on debt management and liquidity Eugene H. Rotberg; Perspective: managing foreign exchange exposure Harry Taylor; Index. Promotional A collection of essays about foreign exchange risk and how to cope with it. Promotional "Headline" A collection of essays about foreign exchange risk and how to cope with it. Description for Bookstore This is a collection of essays by academic experts from the fields of economics, finance, and accounting, and by several distinguished practitioners from international corporations and financial institutions. Together the essays present a broad, up-to-date survey of what we know about foreign exchange risk and how to cope with it. Description for Library This is a collection of essays by academic experts from the fields of economics, finance, and accounting, and by several distinguished practitioners from international corporations and financial institutions. Together the essays present a broad, up-to-date survey of what we know about foreign exchange risk and how to cope with it. Details ISBN0521311209 Short Title MANAGING FOREIGN EXCHANGE RISK Publisher Cambridge University Press Language English Photographer Richard Herring ISBN-10 0521311209 ISBN-13 9780521311205 Media Book Format Paperback Year 1986 Publication Date 1986-04-30 Imprint Cambridge University Press Subtitle Essays Commissioned in Honor of the Centenary of the Wharton School, University of Pennsylvania Place of Publication Cambridge Country of Publication United Kingdom Edited by Richard J. Herring Pages 252 Author Richard J. Herring Edition Description Revised Affiliation University of Pennsylvania DOI 10.1604/9780521311205 UK Release Date 1986-04-30 AU Release Date 1986-04-30 NZ Release Date 1986-04-30 Illustrations 35 Tables, unspecified; 26 Line drawings, unspecified DEWEY 332.45 Audience Professional & Vocational We've got this At The Nile, if you're looking for it, we've got it. With fast shipping, low prices, friendly service and well over a million items - you're bound to find what you want, at a price you'll love! TheNile_Item_ID:7703860;
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ISBN-13: 9780521311205
Book Title: Managing Foreign Exchange Risk
Number of Pages: 252 Pages
Language: English
Publication Name: Managing Foreign Exchange Risk: Essays Commissioned in Honor of the Centenary of the Wharton School, University of Pennsylvania
Publisher: Cambridge University Press
Publication Year: 1986
Subject: Economics
Item Height: 229 mm
Item Weight: 380 g
Type: Textbook
Author: Richard J. Herring
Item Width: 153 mm
Format: Paperback