Financial risk accompanies virtually every investment made by a multinational corporation. Given today’s volatile world markets, astute financial risk management can be the key to comparative financial advantage for any company, if not a critical safety valve. This book serves as a critical guide to identifying and managing the world’s increasingly volatile financial risks: currencies, interest-rates and even commodities, equity and energy.
Strategic Financial Risk Management
In stock
Free & Quick Delivery Worldwide
reviews
Bibliographic information
Title
Strategic Financial Risk Management
Author
Edition
1st ed.
Publisher
ISBN
8173711138
Length
312p.,
Subjects
There are no reviews yet.