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International Edition
International Edition

A.V Rajwade

ISBN 10: 0070680183 ISBN 13: 9780070680180

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About this Item: Hardcover. Condition: New. 1st edition. Brand NEW, Paperback International Edition. Black & White or color, Cover and ISBN same with similar contents as US editions. Standard delivery takes 5-9 business days by USPS/DHL with tracking number. Choose expedited shipping for superfast delivery 3-5 business days by UPS/DHL/FEDEX. We also ship to PO Box addresses but by Standard delivery and shipping charges will be extra. International Edition Textbooks may bear a label -Not for sale in the U.S. or Canada- etc. printed only to discourage U.S. students from obtaining an affordable copy. Legal to use despite any disclaimer on cover as per US court. No access code or CD included unless specified. In some instances, the international textbooks may have different exercises at the end of the chapters. Printed in English. We may ship the books from multiple warehouses across the globe, including India depending upon the availability of inventory storage. In case of orders from Europe, custom charges may comply by the relevant government authority and we are not liable for it. 100% Customer satisfaction guaranteed! Please feel free to contact us for any queries. Seller Inventory # LPBDIN1433169

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A.V. Rajwade

Published by McGraw-Hill Education (2010)

ISBN 10: 0070680183 ISBN 13: 9780070680180

New Softcover First Edition

Quantity Available: > 20

From: BookVistas (New Delhi, DELHI, India)

Seller Rating: 4-star rating

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Destination, Rates & Speeds

About this Item: McGraw-Hill Education, 2010. Softcover. Condition: New. First edition. Huge losses have been incurred by several companies in India and abroad on derivatives used for "hedging" interest rate and currency exposures, in the recent past. This has exposed a major weakness: lack of understanding of derivatives and their usage. There has been an acute lack of clarity even among professionals on understanding what constitutes hedging, and the difference between risk reduction and cost reduction. The issue of hedge effectiveness, especially with the mandatory use of Accounting Standard 30 and disclosure norms from 2011 onwards, becomes critical for company auditors as well. In this context, Currency Exposures and Derivatives: Risk, Hedging, Speculation and Accounting-A Corporate Treasurer`s Handbook, a distillate of the author`s rich experience in advising companies, banks and teaching B school students and executives,comes as a topical and much needed offering for corporate treasurers, chartered accountants, auditors, bankers, and students and faculty of management schools. A companion volume to his book Cash and Derivatives Markets in Foreign Exchange, this book covers: # Types of currency exposures and their effects on the bottom-line of businesses # Exchange rate movements # Risk management issues and policies for corporate treasuries # Use and misuse of derivatives # Provisions of AS 11, AS 16 and AS 30 related to the accounting issues and the rules for establishing hedge effectiveness Table of contents 1. Managing Currency exposures 2. Exchange Rate Movements-I USD: INR Exchange Rate 3. Exchange Rate Movements-II Convertible Currencies 4. Hedging, Trading and Risk Management Regulatory and Governance Issues 5. Risk Management Policies 6. Use and Misuse of Derivatives 7. Accounting of Foreign Exchange Transactions AS II, AS 16 and AS 30 Printed Pages: 148. Seller Inventory # 23395

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International Edition
International Edition

A.V Rajwade

ISBN 10: 0070148880 ISBN 13: 9780070148888

New Softcover First Edition

Quantity Available: > 20

From: LowPriceBookDeals (Wilmington, DE, U.S.A.)

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Destination, Rates & Speeds

About this Item: Softcover. Condition: New. 1st edition. Brand NEW, Paperback International Edition. Black & White or color, Cover and ISBN same with similar contents as US editions. Standard delivery takes 5-9 business days by USPS/DHL with tracking number. Choose expedited shipping for superfast delivery 3-5 business days by UPS/DHL/FEDEX. We also ship to PO Box addresses but by Standard delivery and shipping charges will be extra. International Edition Textbooks may bear a label -Not for sale in the U.S. or Canada- etc. printed only to discourage U.S. students from obtaining an affordable copy. Legal to use despite any disclaimer on cover as per US court. No access code or CD included unless specified. In some instances, the international textbooks may have different exercises at the end of the chapters. Printed in English. We may ship the books from multiple warehouses across the globe, including India depending upon the availability of inventory storage. In case of orders from Europe, custom charges may comply by the relevant government authority and we are not liable for it. 100% Customer satisfaction guaranteed! Please feel free to contact us for any queries. Seller Inventory # LPBDIN1447733

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A.V. Rajwade

Published by McGraw-Hill Education (2010)

ISBN 10: 0070148880 ISBN 13: 9780070148888

New Softcover First Edition

Quantity Available: > 20

From: BookVistas (New Delhi, DELHI, India)

Seller Rating: 4-star rating

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Price: US$ 15.88
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Destination, Rates & Speeds

About this Item: McGraw-Hill Education, 2010. Softcover. Condition: New. First edition. The last few decades have been witness to a far greater degree of globalisation. There has been a leap in world trade and cross-border finance, and a sharp rise in the currency exposures of Indian businesses, even as exchange rates have become more volatile. For business managers, it has become more necessary than ever to understand the functioning of currency markets and instruments, especially derivatives used for hedging. The author brings his expertise and rich experience of several decades in this field, in the book "Cash and DerivativesMarkets in Foreign Exchange" to provide the reader with an understanding of the functioning of currency markets and its instruments. A companion volume to his book Currency Exposures and Derivatives: Risk, Hedging, Speculation and Accounting-A Corporate Treasurer`s Handbook, this book is divided into two parts, covering: # Domestic and global cash markets in foreign exchange, overview of global financial markets, and exchange rate movements. # Domestic and global derivatives markets in foreign exchange: forwards and futures, swaps and options Table of contents Section I 1. Foreign Exchange Rates 2. Foreign Exchange Markets 3. Exchange Arithmetic 4. Global Financial Markets: An Overview 5. Exchange Rate Movements and Managing Currency Risks Section II 6. Markets In Currency Derivatives 7. Futures and FRAs 8. Interest Rate and Currency Swaps the Global Market 9. USD: INR Swaps 10. Option Contracts 11. Pricing and Hedging Options: Basic Principles 12. Credit and Commodity Derivatives Printed Pages: 208. Seller Inventory # 23392

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A.V. Rajwade

Published by McGraw-Hill Education (2010)

ISBN 10: 0070680183 ISBN 13: 9780070680180

New Softcover First Edition

Quantity Available: > 20

From: A - Z Books (New Delhi, DELHI, India)

Seller Rating: 3-star rating

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Price: US$ 14.88
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Destination, Rates & Speeds

About this Item: McGraw-Hill Education, 2010. Softcover. Condition: New. First edition. Huge losses have been incurred by several companies in India and abroad on derivatives used for "hedging" interest rate and currency exposures, in the recent past. This has exposed a major weakness: lack of understanding of derivatives and their usage. There has been an acute lack of clarity even among professionals on understanding what constitutes hedging, and the difference between risk reduction and cost reduction. The issue of hedge effectiveness, especially with the mandatory use of Accounting Standard 30 and disclosure norms from 2011 onwards, becomes critical for company auditors as well. In this context, Currency Exposures and Derivatives: Risk, Hedging, Speculation and Accounting-A Corporate Treasurer`s Handbook, a distillate of the author`s rich experience in advising companies, banks and teaching B school students and executives,comes as a topical and much needed offering for corporate treasurers, chartered accountants, auditors, bankers, and students and faculty of management schools. A companion volume to his book Cash and Derivatives Markets in Foreign Exchange, this book covers: # Types of currency exposures and their effects on the bottom-line of businesses # Exchange rate movements # Risk management issues and policies for corporate treasuries # Use and misuse of derivatives # Provisions of AS 11, AS 16 and AS 30 related to the accounting issues and the rules for establishing hedge effectiveness Table of contents 1. Managing Currency exposures 2. Exchange Rate Movements-I USD: INR Exchange Rate 3. Exchange Rate Movements-II Convertible Currencies 4. Hedging, Trading and Risk Management Regulatory and Governance Issues 5. Risk Management Policies 6. Use and Misuse of Derivatives 7. Accounting of Foreign Exchange Transactions AS II, AS 16 and AS 30 Printed Pages: 148. Seller Inventory # 23395

More information about this seller | Contact this seller 5.

A.V. Rajwade

Published by McGraw-Hill Education (2010)

ISBN 10: 0070148880 ISBN 13: 9780070148888

New Softcover First Edition

Quantity Available: > 20

From: A - Z Books (New Delhi, DELHI, India)

Seller Rating: 3-star rating

Add to Basket
Price: US$ 15.88
Convert Currency
Shipping: US$ 6.24
From India to U.S.A.

Destination, Rates & Speeds

About this Item: McGraw-Hill Education, 2010. Softcover. Condition: New. First edition. The last few decades have been witness to a far greater degree of globalisation. There has been a leap in world trade and cross-border finance, and a sharp rise in the currency exposures of Indian businesses, even as exchange rates have become more volatile. For business managers, it has become more necessary than ever to understand the functioning of currency markets and instruments, especially derivatives used for hedging. The author brings his expertise and rich experience of several decades in this field, in the book "Cash and DerivativesMarkets in Foreign Exchange" to provide the reader with an understanding of the functioning of currency markets and its instruments. A companion volume to his book Currency Exposures and Derivatives: Risk, Hedging, Speculation and Accounting-A Corporate Treasurer`s Handbook, this book is divided into two parts, covering: # Domestic and global cash markets in foreign exchange, overview of global financial markets, and exchange rate movements. # Domestic and global derivatives markets in foreign exchange: forwards and futures, swaps and options Table of contents Section I 1. Foreign Exchange Rates 2. Foreign Exchange Markets 3. Exchange Arithmetic 4. Global Financial Markets: An Overview 5. Exchange Rate Movements and Managing Currency Risks Section II 6. Markets In Currency Derivatives 7. Futures and FRAs 8. Interest Rate and Currency Swaps the Global Market 9. USD: INR Swaps 10. Option Contracts 11. Pricing and Hedging Options: Basic Principles 12. Credit and Commodity Derivatives Printed Pages: 208. Seller Inventory # 23392

More information about this seller | Contact this seller 6.

International Edition
International Edition

A.V Rajwade

ISBN 10: 0070656614 ISBN 13: 9780070656611

New Softcover First Edition

Quantity Available: > 20

From: LowPriceBookDeals (Wilmington, DE, U.S.A.)

Seller Rating: 5-star rating

International Edition
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Price: US$ 22.30
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Destination, Rates & Speeds

About this Item: Softcover. Condition: New. 1st edition. Brand NEW, Paperback International Edition. Black & White or color, Cover and ISBN same with similar contents as US editions. Standard delivery takes 5-9 business days by USPS/DHL with tracking number. Choose expedited shipping for superfast delivery 3-5 business days by UPS/DHL/FEDEX. We also ship to PO Box addresses but by Standard delivery and shipping charges will be extra. International Edition Textbooks may bear a label -Not for sale in the U.S. or Canada- etc. printed only to discourage U.S. students from obtaining an affordable copy. Legal to use despite any disclaimer on cover as per US court. No access code or CD included unless specified. In some instances, the international textbooks may have different exercises at the end of the chapters. Printed in English. We may ship the books from multiple warehouses across the globe, including India depending upon the availability of inventory storage. In case of orders from Europe, custom charges may comply by the relevant government authority and we are not liable for it. 100% Customer satisfaction guaranteed! Please feel free to contact us for any queries. Seller Inventory # LPBDIN1433167

More information about this seller | Contact this seller 7.

A.V. Rajwade

Published by McGraw-Hill Education (2007)

ISBN 10: 0070656614 ISBN 13: 9780070656611

New Softcover First Edition

Quantity Available: > 20

From: BookVistas (New Delhi, DELHI, India)

Seller Rating: 4-star rating

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Price: US$ 22.13
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Shipping: US$ 4.99
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Destination, Rates & Speeds

About this Item: McGraw-Hill Education, 2007. Softcover. Condition: New. First edition. The importance of fixed income portfolios and the need to manage them prudently and optimally has grown rapidly in the recent years. Liberalization of the interest rate regime and consequent volatility of interest rates have added to both the risks and rewards of fixed income portfolios. Handbook of Debt Securities and Interest Rate Derivatives covers: # Debt Securities and Markets # Money Market # Bond Market in India # Primary Market in G-Secs # Secondary Market # Interest Rate Derivatives # Market Practices and Data Sources CD-ROM contains excel worksheets for calculating price yields, cash flows, amortising swaps, etc. With this coverage, this book would serve the needs of financial intermediaries including commercial and cooperative banks, primary dealers, insurance companies, bond funds, corporate treasuries, etc Table of contents 1. Debt Securities and Markets: An Overview 2. Money Market 3. Bond Market in India 4. The Primary Market in G-Secs 5. The Secondary Market 6. Interest Rate Derivatives 7. Market Practices and Data Sources 8. Valuation of Fixed Income Securities: Basic Concepts 9. Term Structure and Yield Curves 10. Bonds with Options 11. Securitisation 12. Interest Rate Derivatives: Pricing, Hedging and Valuation 13. Measuring the Price Risk: Duration and Convexity 14. Measuring the Price Risk: VaR Approach 15. Debt Securities Portfolios: Management, Classification and Valuation 16. Price and Credit Risk Management Capital Charge 17. Operational Risk 18. Issues in Accounting Printed Pages: 0. Seller Inventory # 23391

More information about this seller | Contact this seller 8.

A.V. Rajwade

Published by McGraw-Hill Education (2007)

ISBN 10: 0070656614 ISBN 13: 9780070656611

New Softcover First Edition

Quantity Available: > 20

From: A - Z Books (New Delhi, DELHI, India)

Seller Rating: 3-star rating

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Price: US$ 22.13
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Shipping: US$ 6.24
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Destination, Rates & Speeds

About this Item: McGraw-Hill Education, 2007. Softcover. Condition: New. First edition. The importance of fixed income portfolios and the need to manage them prudently and optimally has grown rapidly in the recent years. Liberalization of the interest rate regime and consequent volatility of interest rates have added to both the risks and rewards of fixed income portfolios. Handbook of Debt Securities and Interest Rate Derivatives covers: # Debt Securities and Markets # Money Market # Bond Market in India # Primary Market in G-Secs # Secondary Market # Interest Rate Derivatives # Market Practices and Data Sources CD-ROM contains excel worksheets for calculating price yields, cash flows, amortising swaps, etc. With this coverage, this book would serve the needs of financial intermediaries including commercial and cooperative banks, primary dealers, insurance companies, bond funds, corporate treasuries, etc Table of contents 1. Debt Securities and Markets: An Overview 2. Money Market 3. Bond Market in India 4. The Primary Market in G-Secs 5. The Secondary Market 6. Interest Rate Derivatives 7. Market Practices and Data Sources 8. Valuation of Fixed Income Securities: Basic Concepts 9. Term Structure and Yield Curves 10. Bonds with Options 11. Securitisation 12. Interest Rate Derivatives: Pricing, Hedging and Valuation 13. Measuring the Price Risk: Duration and Convexity 14. Measuring the Price Risk: VaR Approach 15. Debt Securities Portfolios: Management, Classification and Valuation 16. Price and Credit Risk Management Capital Charge 17. Operational Risk 18. Issues in Accounting Printed Pages: 0. Seller Inventory # 23391

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A.V. Rajwade

Published by McGraw-Hill Education (2010)

New Softcover First Edition

Quantity Available: > 20

From: Sanctum Books (New Delhi, DELHI, India)

Seller Rating: 4-star rating

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Destination, Rates & Speeds

About this Item: McGraw-Hill Education, 2010. Softcover. Condition: New. First edition. Huge losses have been incurred by several companies in India and abroad on derivatives used for "hedging" interest rate and currency exposures, in the recent past. This has exposed a major weakness: lack of understanding of derivatives and their usage. There has been an acute lack of clarity even among professionals on understanding what constitutes hedging, and the difference between risk reduction and cost reduction. The issue of hedge effectiveness, especially with the mandatory use of Accounting Standard 30 and disclosure norms from 2011 onwards, becomes critical for company auditors as well. In this context, Currency Exposures and Derivatives: Risk, Hedging, Speculation and Accounting-A Corporate Treasurer`s Handbook, a distillate of the author`s rich experience in advising companies, banks and teaching B school students and executives,comes as a topical and much needed offering for corporate treasurers, chartered accountants, auditors, bankers, and students and faculty of management schools. A companion volume to his book Cash and Derivatives Markets in Foreign Exchange, this book covers: # Types of currency exposures and their effects on the bottom-line of businesses # Exchange rate movements # Risk management issues and policies for corporate treasuries # Use and misuse of derivatives # Provisions of AS 11, AS 16 and AS 30 related to the accounting issues and the rules for establishing hedge effectiveness Table of contents 1. Managing Currency exposures 2. Exchange Rate Movements-I USD: INR Exchange Rate 3. Exchange Rate Movements-II Convertible Currencies 4. Hedging, Trading and Risk Management Regulatory and Governance Issues 5. Risk Management Policies 6. Use and Misuse of Derivatives 7. Accounting of Foreign Exchange Transactions AS II, AS 16 and AS 30 Printed Pages: 148. Seller Inventory # 23395

More information about this seller | Contact this seller 10.

A.V. Rajwade

Published by McGraw-Hill Education (2010)

New Softcover First Edition

Quantity Available: > 20

From: Sanctum Books (New Delhi, DELHI, India)

Seller Rating: 4-star rating

Add to Basket
Price: US$ 23.82
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Shipping: US$ 6.25
From India to U.S.A.

Destination, Rates & Speeds

About this Item: McGraw-Hill Education, 2010. Softcover. Condition: New. First edition. The last few decades have been witness to a far greater degree of globalisation. There has been a leap in world trade and cross-border finance, and a sharp rise in the currency exposures of Indian businesses, even as exchange rates have become more volatile. For business managers, it has become more necessary than ever to understand the functioning of currency markets and instruments, especially derivatives used for hedging. The author brings his expertise and rich experience of several decades in this field, in the book "Cash and DerivativesMarkets in Foreign Exchange" to provide the reader with an understanding of the functioning of currency markets and its instruments. A companion volume to his book Currency Exposures and Derivatives: Risk, Hedging, Speculation and Accounting-A Corporate Treasurer`s Handbook, this book is divided into two parts, covering: # Domestic and global cash markets in foreign exchange, overview of global financial markets, and exchange rate movements. # Domestic and global derivatives markets in foreign exchange: forwards and futures, swaps and options Table of contents Section I 1. Foreign Exchange Rates 2. Foreign Exchange Markets 3. Exchange Arithmetic 4. Global Financial Markets: An Overview 5. Exchange Rate Movements and Managing Currency Risks Section II 6. Markets In Currency Derivatives 7. Futures and FRAs 8. Interest Rate and Currency Swaps the Global Market 9. USD: INR Swaps 10. Option Contracts 11. Pricing and Hedging Options: Basic Principles 12. Credit and Commodity Derivatives Printed Pages: 208. Seller Inventory # 23392

More information about this seller | Contact this seller 11.

A.V. Rajwade

Published by McGraw-Hill Education (2007)

New Softcover First Edition

Quantity Available: > 20

From: Sanctum Books (New Delhi, DELHI, India)

Seller Rating: 4-star rating

Add to Basket
Price: US$ 33.20
Convert Currency
Shipping: US$ 6.25
From India to U.S.A.

Destination, Rates & Speeds

About this Item: McGraw-Hill Education, 2007. Softcover. Condition: New. First edition. The importance of fixed income portfolios and the need to manage them prudently and optimally has grown rapidly in the recent years. Liberalization of the interest rate regime and consequent volatility of interest rates have added to both the risks and rewards of fixed income portfolios. Handbook of Debt Securities and Interest Rate Derivatives covers: # Debt Securities and Markets # Money Market # Bond Market in India # Primary Market in G-Secs # Secondary Market # Interest Rate Derivatives # Market Practices and Data Sources CD-ROM contains excel worksheets for calculating price yields, cash flows, amortising swaps, etc. With this coverage, this book would serve the needs of financial intermediaries including commercial and cooperative banks, primary dealers, insurance companies, bond funds, corporate treasuries, etc Table of contents 1. Debt Securities and Markets: An Overview 2. Money Market 3. Bond Market in India 4. The Primary Market in G-Secs 5. The Secondary Market 6. Interest Rate Derivatives 7. Market Practices and Data Sources 8. Valuation of Fixed Income Securities: Basic Concepts 9. Term Structure and Yield Curves 10. Bonds with Options 11. Securitisation 12. Interest Rate Derivatives: Pricing, Hedging and Valuation 13. Measuring the Price Risk: Duration and Convexity 14. Measuring the Price Risk: VaR Approach 15. Debt Securities Portfolios: Management, Classification and Valuation 16. Price and Credit Risk Management Capital Charge 17. Operational Risk 18. Issues in Accounting Printed Pages: 0. Seller Inventory # 23391

More information about this seller | Contact this seller 12.

A V Rajwade

Published by Bloomsbury India (2017)

ISBN 10: 9386643340 ISBN 13: 9789386643346

New Soft cover First Edition

Quantity Available: 1

From: Vedams eBooks (P) Ltd (New Delhi, India)

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Destination, Rates & Speeds

About this Item: Bloomsbury India, 2017. Soft cover. Condition: New. 1st Edition. Exchange rates, growth and crises is a collection of columns that captures the authorís ringside perspective of events as they unfolded in the large and tumultuous world of finance and economics over the past 25 years (post liberalization) and maybe a bit more. The author has been a chronicler of his times for 30 years and in all his writings, India has always been at the center. Be it the financial crisis of 2008, the Asian crises or the numerous ways in which the global multilateral agencies have worked their write on the world, Mr Rajwade has diligently recorded the impact of these varied events on India. This book offers invaluable insight to students, professionals and all interested watchers of Indiaís economic and financial story. Seller Inventory # 122857

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Results (1 - 13) of 13