Transcription of Derivatives and Risk Management Made Simple
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Derivatives and Risk Management made SimpleDecember 2013 AcknowledgementsWe would like to thank Morgan for their help in producing and sponsoring this : This guide is for information only. It is not investment or legal advice. In particular, this outline does not address in detail developing regulatory requirements with respect to Derivatives : readers should seek their own professional advice on these matters. Published by the National Association of Pension Funds Limited 2013 First published: December 20131 Contents1. Derivatives and Risk Management 22.
Derivatives and Risk Management made simple 3. Market risk Market risk refers to the sensitivity of an asset or portfolio to overall market price movements such as interest rates, ... reduced by hedging. The use of interest and inflation rate swaps can produce offsetting positions whereby the risks are
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Risk management, Risk, Hedging, And risk management, COMMODITY RISK MANAGEMENT & HEDGING POLICY, Implementing Long Volatility Exposures for Hedging, HEDGING AND TAIL RISK MANAGEMENT, Risk Hedging Strategies for Business Enterprises——A, Financial Risk Management for Management Accountants, Management, Hedging and Risk Management, HEDGING INSTRUMENTS RISK MANAGEMENT POLICY 1, Techniques for Managing Exchange Rate