Financial Derivatives and the Globalization of Risk

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Author :
Publisher : Duke University Press
ISBN 13 : 0822334186
Total Pages : 225 pages
Book Rating : 4.8/5 (223 download)

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Book Synopsis Financial Derivatives and the Globalization of Risk by : Edward LiPuma

Download or read book Financial Derivatives and the Globalization of Risk written by Edward LiPuma and published by Duke University Press. This book was released on 2004-09-29 with total page 225 pages. Available in PDF, EPUB and Kindle. Book excerpt: DIVCultural studies exploration of the implications of the circulation of increasingly abstract forms of capital in the contemporary global economy./div

The Social Life of Financial Derivatives

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Publisher : Duke University Press
ISBN 13 : 0822372835
Total Pages : 416 pages
Book Rating : 4.8/5 (223 download)

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Book Synopsis The Social Life of Financial Derivatives by : Edward LiPuma

Download or read book The Social Life of Financial Derivatives written by Edward LiPuma and published by Duke University Press. This book was released on 2017-08-11 with total page 416 pages. Available in PDF, EPUB and Kindle. Book excerpt: In The Social Life of Financial Derivatives Edward LiPuma theorizes the profound social dimensions of derivatives markets and the processes, rituals, and belief systems that drive them. In response to the 2008 financial crisis and drawing on his experience trading derivatives, LiPuma outlines how they function as complex devices that organize speculative capital as well as the ways derivative-driven capitalism not only produces the conditions for its own existence, but also penetrates the fabric of everyday life. Framing finance as a form of social life and highlighting the intrinsically social character of financial derivatives, LiPuma deepens our understanding of derivatives so that we may someday use them to serve the public well-being.

International Corporate Finance, + Website

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Author :
Publisher : John Wiley & Sons
ISBN 13 : 1118781864
Total Pages : 885 pages
Book Rating : 4.1/5 (187 download)

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Book Synopsis International Corporate Finance, + Website by : Laurent L. Jacque

Download or read book International Corporate Finance, + Website written by Laurent L. Jacque and published by John Wiley & Sons. This book was released on 2014-03-24 with total page 885 pages. Available in PDF, EPUB and Kindle. Book excerpt: A thorough introduction to corporate finance from a renowned professor of finance and banking As globalization redefines the field of corporate finance, international and domestic finance have become almost inseparably intertwined. It's increasingly difficult to understand what is happening in capital markets without a firm grasp of currency markets, the investment strategies of sovereign wealth funds, carry trade, and foreign exchange derivatives products. International Corporate Finance offers thorough coverage of the international monetary climate, including Islamic finance, Asian banking, and cross-border mergers and acquisitions. Additionally, the book offers keen insight on global capital markets, equity markets, and bond markets, as well as foreign exchange risk management and how to forecast exchange rates. Offers a comprehensive discussion of the current state of international corporate finance Provides simple rules and pragmatic answers to key managerial questions and issues Includes case studies and real-world decision-making situations For anyone who wants to understand how finance works in today's hyper-connected global economy, International Corporate Finance is an insightful, practical guide to this complex subject.

Globalization and Systemic Risk

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Publisher : World Scientific
ISBN 13 : 9812833374
Total Pages : 455 pages
Book Rating : 4.8/5 (128 download)

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Book Synopsis Globalization and Systemic Risk by : Douglas Darrell Evanoff

Download or read book Globalization and Systemic Risk written by Douglas Darrell Evanoff and published by World Scientific. This book was released on 2009 with total page 455 pages. Available in PDF, EPUB and Kindle. Book excerpt: The impact of globalization of financial markets is a highly debated topic, particularly in recent months when the issue of globalization and contagion of financial distress has become a focus of intense policy debate. The papers in this volume provide an up-to-date overview of the key issues in this debate. While most of the contributions were prepared after the initial outbreak of the current global turmoil and financial crisis, they identify the relative strengths of the risk diversification and risk transmission processes and examine the empirical evidence to date. The book considers the relative roles of banks, nonbank financial institutions and capital markets in both risk diversification and risk transmission. It then evaluates the current status of crisis resolution in a global context, and speculates where to go from here in terms of understanding, resolution, prevention and public policy.

Fixed-Income Analysis for the Global Financial Market

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Author :
Publisher : John Wiley & Sons
ISBN 13 : 9780471246534
Total Pages : 388 pages
Book Rating : 4.2/5 (465 download)

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Book Synopsis Fixed-Income Analysis for the Global Financial Market by : Giorgio S. Questa

Download or read book Fixed-Income Analysis for the Global Financial Market written by Giorgio S. Questa and published by John Wiley & Sons. This book was released on 1999-07-22 with total page 388 pages. Available in PDF, EPUB and Kindle. Book excerpt: Anwendungsbereite Kenntnisse moderner festverzinslicher Anlageformen erlernen Sie mit diesem Handbuch von Grund auf. Preisgestaltung und Risikoanalysen werden auch dem Leser mit geringen mathematischen Vorkenntnissen schlussig erklart. Instrumente des Geldmarktes, langfristige Anlagen, Optionen, Derivate und viele andere Themen wurden in einer Form aufgearbeitet, die sich besonders zum Selbststudium eignet. (04/99)

The Power of Derivatives in the Global Financial System

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Author :
Publisher : GRIN Verlag
ISBN 13 : 3640507223
Total Pages : 22 pages
Book Rating : 4.6/5 (45 download)

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Book Synopsis The Power of Derivatives in the Global Financial System by : Maximilian A. Killinger

Download or read book The Power of Derivatives in the Global Financial System written by Maximilian A. Killinger and published by GRIN Verlag. This book was released on 2010-01-11 with total page 22 pages. Available in PDF, EPUB and Kindle. Book excerpt: Seminar paper from the year 2009 in the subject Economics - Monetary theory and policy, grade: A, City University London, language: English, abstract: This work is to discuss the role and power of derivatives in the global financial markets and their ability to reduce, diversify and enhance risks associated with international capital flows. During the last two decades derivatives, as fiscal instruments, experienced enormous growth and gained increasingly of importance. This is mainly due to their ability to allow the spreading of risks in cross border capital movements, making such investments more appealing and the diversification of portfolios more likely. Yet, derivative markets are controversial because they are not well known outside a small group of specialists. Most people look at them with suspicion and focus on their role as highly effective instruments for speculation. Given the leverage they provide fortunes can be made or lost in the wink of an eye. Although derivatives do not create anything it will be shown in the course of this study that the importance of derivatives lies in the fact that they can be used to reduce, diversify and control uncertainty and risks associated with various corporate activities, thus creating substantial benefits as well as complexities. Section one is going to define the most common derivative products before addressing their general purpose followed by exemplifying two principal risks aligned with the use of derivatives, namely credit- and market risk. Subsequently this works is going to discuss the positive as well as the negative effects derivatives may have on banks and investors. Sections five, six and seven will then illuminate systematic predicaments, address risks and eventually conclude after having considered the entanglement and market share of derivatives. Warren Buffett, Forbes-listed as the richest person in the world, has called credit derivatives financial weapons of mass destruction, carrying dangers that, while now latent, are potentially lethal. Nominally they are insurances against defaults, but they encourage greater gambles and credit expansion, which are moral hazards whereas Alan Greenspan, on the other hand, observed that derivatives have come to play an exceptionally important role in our financial system and in our economy. These instruments allow users to unbundle risks and allocate them to the investors most willing and able to use them. It is this study’s object to illuminate the complexity of derivatives and exemplify both, their advantageous and unfavourable but yet undeniably powerful characteristics.

Extreme Money

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Publisher : FT Press
ISBN 13 : 0132790076
Total Pages : 481 pages
Book Rating : 4.1/5 (327 download)

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Book Synopsis Extreme Money by : Satyajit Das

Download or read book Extreme Money written by Satyajit Das and published by FT Press. This book was released on 2011 with total page 481 pages. Available in PDF, EPUB and Kindle. Book excerpt: Everything from home mortgages to climate change has become financialized, as vast fortunes are generated by individuals who build nothing of lasting value. Das shows how "extreme money" has become ever more unreal; how "voodoo banking" continues to generate massive phony profits even now; and how a new generation of "Masters of the Universe" has come to domiinate the world.

Risk Management, Speculation, and Derivative Securities

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Publisher : Academic Press
ISBN 13 : 9780125588225
Total Pages : 628 pages
Book Rating : 4.5/5 (882 download)

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Book Synopsis Risk Management, Speculation, and Derivative Securities by : Geoffrey Poitras

Download or read book Risk Management, Speculation, and Derivative Securities written by Geoffrey Poitras and published by Academic Press. This book was released on 2002-06-10 with total page 628 pages. Available in PDF, EPUB and Kindle. Book excerpt: Presenting an integrated explanation of speculative trading and risk management from the practitioner's point of view, "Risk Management, Speculation, and Derivative Securities" is a standard text on financial risk management that departs from the perspective of an agent whose main concerns are pricing and hedging derivatives.

Derivatives and the Wealth of Societies

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Publisher : University of Chicago Press
ISBN 13 : 022639283X
Total Pages : 323 pages
Book Rating : 4.2/5 (263 download)

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Book Synopsis Derivatives and the Wealth of Societies by : Benjamin Lee

Download or read book Derivatives and the Wealth of Societies written by Benjamin Lee and published by University of Chicago Press. This book was released on 2016-11-02 with total page 323 pages. Available in PDF, EPUB and Kindle. Book excerpt: The contributors to this volume draw upon their deep backgrounds in finance, the social sciences, arts, and the humanities to create a new way of understanding derivative capitalism that does justice to its technical, social, and cultural dimensions. The financial crisis of 2008 demonstrated both that derivatives are capable of producing great wealth and that their deregulation and privatization cannot control the risks that they produce. A popular reaction is to focus on the regulation or abolition of derivative finance. These authors take a different tack and instead raise the question: if we should want access to the wealth that derivatives are capable of producing, what kind of social institutions and policies would be needed to make such wealth production work for the benefit of all of us? Since this question goes to the very heart of what kind of society is most desirable, the volume argues that we need both a social understanding of the derivative and a derivative understanding of the social. The derivative reading of the social employs a small set of financial concepts to understand certain defining dimensions of contemporary reality. The central concept is that of volatility and its relations to risk, uncertainty, hedging, optionality, and arbitrage. The social reading of the derivative involves anthropological discussions of the gift, ritual, play, and performativity and provides us with frames of embodiment for analyzing, through action and event, the ways derivatives do their work.

Financial Derivatives and the Globalization of Risk

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Author :
Publisher : Duke University Press
ISBN 13 : 9780822334187
Total Pages : 228 pages
Book Rating : 4.3/5 (341 download)

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Book Synopsis Financial Derivatives and the Globalization of Risk by : Edward LiPuma

Download or read book Financial Derivatives and the Globalization of Risk written by Edward LiPuma and published by Duke University Press. This book was released on 2004-09-29 with total page 228 pages. Available in PDF, EPUB and Kindle. Book excerpt: DIVCultural studies exploration of the implications of the circulation of increasingly abstract forms of capital in the contemporary global economy./div

Systemic Risk from Global Financial Derivatives

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Author :
Publisher : International Monetary Fund
ISBN 13 : 1475577508
Total Pages : 58 pages
Book Rating : 4.4/5 (755 download)

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Book Synopsis Systemic Risk from Global Financial Derivatives by : Ms.Sheri M. Markose

Download or read book Systemic Risk from Global Financial Derivatives written by Ms.Sheri M. Markose and published by International Monetary Fund. This book was released on 2012-11-30 with total page 58 pages. Available in PDF, EPUB and Kindle. Book excerpt: Financial network analysis is used to provide firm level bottom-up holistic visualizations of interconnections of financial obligations in global OTC derivatives markets. This helps to identify Systemically Important Financial Intermediaries (SIFIs), analyse the nature of contagion propagation, and also monitor and design ways of increasing robustness in the network. Based on 2009 FDIC and individually collected firm level data covering gross notional, gross positive (negative) fair value and the netted derivatives assets and liabilities for 202 financial firms which includes 20 SIFIs, the bilateral flows are empirically calibrated to reflect data-based constraints. This produces a tiered network with a distinct highly clustered central core of 12 SIFIs that account for 78 percent of all bilateral exposures and a large number of financial intermediaries (FIs) on the periphery. The topology of the network results in the “Too- Interconnected-To-Fail” (TITF) phenomenon in that the failure of any member of the central tier will bring down other members with the contagion coming to an abrupt end when the ‘super-spreaders’ have demised. As these SIFIs account for the bulk of capital in the system, ipso facto no bank among the top tier can be allowed to fail, highlighting the untenable implicit socialized guarantees needed for these markets to operate at their current levels. Systemic risk costs of highly connected SIFIs nodes are not priced into their holding of capital or collateral. An eigenvector centrality based ‘super-spreader’ tax has been designed and tested for its capacity to reduce the potential socialized losses from failure of SIFIs.

Globalization, Gating, and Risk Finance

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Author :
Publisher : John Wiley & Sons
ISBN 13 : 1119252652
Total Pages : 476 pages
Book Rating : 4.1/5 (192 download)

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Book Synopsis Globalization, Gating, and Risk Finance by : Unurjargal Nyambuu

Download or read book Globalization, Gating, and Risk Finance written by Unurjargal Nyambuu and published by John Wiley & Sons. This book was released on 2018-01-16 with total page 476 pages. Available in PDF, EPUB and Kindle. Book excerpt: An in-depth guide to global and risk finance based on financial models and data-based issues that confront global financial managers. Globalization, Gating, and Risk Finance offers perspectives on global risk finance in a world with economies in transition. Developed from lectures and research projects investigating the consequences of globalization and strategic approaches to fundamental economics and finance, it provides an approach based on financial models and data; it includes many case-study problems. The book departs from the traditional macroeconomic and financial approaches to global and strategic risk finance, where economic power and geopolitical issues are intermingled to create complex and forward-looking financial systems. Chapter coverage includes: Globalization: Economies in Collision; Data, Measurements, and Global Finance; Global Finance: Utility, Financial Consumption, and Asset Pricing; Macroeconomics, Foreign Exchange, and Global Finance; Foreign Exchange Models and Prices; Asia: Financial Environment and Risks; Financial Currency Pricing, Swaps, Derivatives, and Complete Markets; Credit Risk and International Debt; Globalization and Trade: A Changing World; and Compliance and Financial Regulation. Provides a framework for global financial and inclusive models, some of which are not commonly covered in other books. Considers risk management, utility, and utility-based multi-agent financial theories. Presents a theoretical framework to assist with a variety of problems ranging from derivatives and FX pricing to bond default to trade and strategic regulation. Provides detailed explanations and mathematical proofs to aid the readers’ understanding. Globalization, Gating, and Risk Finance is appropriate as a text for graduate students of global finance, general finance, financial engineering, and international economics, and for practitioners.

Global Derivatives

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Publisher : Pearson Education
ISBN 13 : 9780273688549
Total Pages : 484 pages
Book Rating : 4.6/5 (885 download)

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Book Synopsis Global Derivatives by : Torben Juul Andersen

Download or read book Global Derivatives written by Torben Juul Andersen and published by Pearson Education. This book was released on 2006 with total page 484 pages. Available in PDF, EPUB and Kindle. Book excerpt: Global Derivatives provides comprehensive coverage of different types of derivatives, including exchange traded contracts and over-the-counter instruments as well as real options. There is an equal emphasis on the practical application of derivatives and their actual uses in business transactions and corporate risk management situations. Various uses of financial derivatives are outlined from relatively simple transactional hedging problems to more complex strategic risk management situations and applications of options perspectives in corporate risk management scenarios. This book is ideal for MBA and undergraduate students with a finance or management focus. Review Quotes "An interesting and useful approach to the study of derivatives." George Christodoulakis, City University, UK "In Global Derivatives: A Strategic Risk Management Perspective Torben Juul Andersen has succeeded to gather in one book a complete and thorough summary and an easy-to-read explanation of all types of derivative instruments and their background and their use in modern management of risk." Steen Parsholt, Chairman and CEO, Aon Nordic Region

Foundations of Global Financial Markets and Institutions, fifth edition

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Publisher : MIT Press
ISBN 13 : 0262351722
Total Pages : 1105 pages
Book Rating : 4.2/5 (623 download)

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Book Synopsis Foundations of Global Financial Markets and Institutions, fifth edition by : Frank J. Fabozzi

Download or read book Foundations of Global Financial Markets and Institutions, fifth edition written by Frank J. Fabozzi and published by MIT Press. This book was released on 2019-04-30 with total page 1105 pages. Available in PDF, EPUB and Kindle. Book excerpt: A thoroughly revised and updated edition of a textbook for graduate students in finance, with new coverage of global financial institutions. This thoroughly revised and updated edition of a widely used textbook for graduate students in finance now provides expanded coverage of global financial institutions, with detailed comparisons of U.S. systems with non-U.S. systems. A focus on the actual practices of financial institutions prepares students for real-world problems. After an introduction to financial markets and market participants, including asset management firms, credit rating agencies, and investment banking firms, the book covers risks and asset pricing, with a new overview of risk; the structure of interest rates and interest rate and credit risks; the fundamentals of primary and secondary markets; government debt markets, with new material on non-U.S. sovereign debt markets; corporate funding markets, with new coverage of small and medium enterprises and entrepreneurial ventures; residential and commercial real estate markets; collective investment vehicles, in a chapter new to this edition; and financial derivatives, including financial futures and options, interest rate derivatives, foreign exchange derivatives, and credit risk transfer vehicles such as credit default swaps. Each chapter begins with learning objectives and ends with bullet point takeaways and questions.

Risk Takers

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Author :
Publisher : Addison-Wesley Longman
ISBN 13 :
Total Pages : 294 pages
Book Rating : 4.F/5 ( download)

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Book Synopsis Risk Takers by : John E. Marthinsen

Download or read book Risk Takers written by John E. Marthinsen and published by Addison-Wesley Longman. This book was released on 2005 with total page 294 pages. Available in PDF, EPUB and Kindle. Book excerpt: Risk Takers profiles seven real-life situations in which financial derivatives resulted in fabulous success or spectacular failure while also exploring some everyday uses of derivatives, such as stock options. Beyond simple case studies, this book fully explores the events, providing context and discussing outcomes. Studying the affects of the derivative-related decisions made by companies and municipalities, readers gain a full understanding of these complex instruments. These clearly written stories bridge the gap between financial theory and real world applications, and are recommended reading for all students of finance and anyone interested in the world of finance and financial derivatives.

Exotic Derivatives and Risk

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Publisher : World Scientific
ISBN 13 : 9812797475
Total Pages : 617 pages
Book Rating : 4.8/5 (127 download)

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Book Synopsis Exotic Derivatives and Risk by : Mondher Bellalah

Download or read book Exotic Derivatives and Risk written by Mondher Bellalah and published by World Scientific. This book was released on 2009 with total page 617 pages. Available in PDF, EPUB and Kindle. Book excerpt: This book discusses in detail the workings of financial markets and over-the-counter (OTC) markets, focusing specifically on standard and complex derivatives. The subjects covered range from the fundamental products in OTC markets, standard and exotic options, the concepts of value at risk, credit derivatives and risk management, to the applications of option pricing theory to real assets.To further elucidate these complex concepts and formulas, this book also explains in each chapter how theory and practice go hand-in-hand. This volume, a culmination of the author's 12 years of professional experience in the field of finance, derivative analysis and risk management, is a valuable guide for postgraduate students, academics and practitioners in the field of finance.

Energy Risk Management

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Author :
Publisher : McGraw Hill Professional
ISBN 13 : 9780786311842
Total Pages : 290 pages
Book Rating : 4.3/5 (118 download)

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Book Synopsis Energy Risk Management by : Peter C. Fusaro

Download or read book Energy Risk Management written by Peter C. Fusaro and published by McGraw Hill Professional. This book was released on 1998 with total page 290 pages. Available in PDF, EPUB and Kindle. Book excerpt: Addressing the important issues of worldwide energy price risk management, this work assembles the leading industry figures to explain general theories and practices for hedging risk, and specific methods to effectively manage risk in markets such as coal, natural gas, electricity, and hydropower.