"Essential for corporate financial managers seeking a more detailed understanding
of risk management." 
Satyajit Das, Finance and Treasury Professional 
Core reference for the Treasury professional covering a range of practical and
theoretical risk management issues. 
  - Examines a range of risks including interest rate and commodity risk and also pension
    fund asset allocation 
 
  - Includes practical, step-by-step examples and extensive panels focusing on how to apply
    specific techniques 
 
  - Presentation of key methodologies such as Value-at-Risk as applied to corporations and
    the application of equity and credit derivatives 
   
Table of contents 
Preface 
Building Risk Management Strategies 
Does Corporate Risk Mangement Create Sharehold Value? A Survey of Economic Theory and
Evidence 
George W. Fenn, Mitch Post and Steven A. Sharpe of the Board of Governors of the Federal
Reserve System 
Identifying and Quantifying Exposures 
René M. Stulz and Rohan G. Williamson of Ohio State University, 
With panel by Sarah Pask of ICL 
Treasury Risk Management in a Cost-Centre Environment 
Leslie K. McNew of GK Risk Management, Inc 
Var and the Corporate Treasury 
Value-at-Risk 
A Risk Measurement Tool of Treasurers 
Mary Ellen Stocks of Deloitte & Touche LLP 
with panel by Betsy Glaeser of Deloitte & Touche LLP 
Strategic Risk Management 
Applying VAR to Corporate Investment Decisions 
David C. Shimko of JP Morgan Securities, Inc 
New Risks and Responsibilities 
Commodity Risk Management and the Corporate Treasury 
H. Brett Humphreys and David C. Shimko of JP Morgan Securities, Inc 
Managing the Risk of Pension Assets 
Ivan E. Stux of Morgan Stanley, 
with panel by Chris Ito fo Deloitte & Touche LLP 
Corporate Applications of Equity and Credit Derivatives  147 
Sumita Kumar of The Chase Manhattan Bank 
with panel by Michael Hampton of Cedef Finance Ltd 
Accounting, Disclosure and Tax 
Accounting for Derivatives and Other Treasury Instruments 
James A. Johnson of Deloitte and Touche LLP 
Risk Management Disclosures 
Thomas J. Linsmeier and Neil D. Pearson of the University of Illinois 
Tax and Risk Management 
Federal Income Tax and Offshore Treasury Centres 
Mark Leeds of Deloitte & Touche LLP 
Glossary of Risk Management Terms 
Index 
Hardback
229 pages
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