Managing Foreign Exchange Risk: Advanced Strategies for Global Investors, Corporations, and Financial institutions

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9780071408363: Managing Foreign Exchange Risk: Advanced Strategies for Global Investors, Corporations, and Financial institutions

Managing Foreign Exchange Risk, Third Edition, is revised and updated to integrate three major issues that have become central foreign exchange considerations—the euro, emergingmarket currencies and crises, and the effects of technology on the mechanisms of trading. Professional money managers and traders, along with institutional investors, receive a detailed overview of the international monetary system and the mechanics of forex trading along with actual forex market conventions, real-world examples, and in-depth discussion of forward contracts, exotics, and overlay programs.

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About the Author:

David F. DeRosa (New Canaan, CT) is a high-profile principal of DeRosa Research and Trading. An adjunct professor of finance at Yale University, DeRosa also writes a column for Bloomberg News.

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