商品簡介
Advanced Strategies in Financial Risk Management
Robert J. Schwartz, Clifford W. Smith, Jr.
"Advanced Strategies in Financial Risk Management should be read by all practitioners, students and regulators of the derivatives markets. It brings together the collective wisdom of the top market and academic experts in the field. In our rapidly advancing and changing environment, it is essential reading." -Mark C. Brickell
Co-chairman, Regulation and Risk-Mitigation Committee, International Swap Dealers Association
"In this new book, Bob Schwartz and Cliff Smith have created an invaluable companion to their previous book, The Handbook of Currency and Interest Rate Risk Management. Once again, they have assembled an impressive array of contributing authors, whose hands-on experience in the currency and derivative markets will be of great assistance to market practitioners, regulators, and other students of these markets."
Wendy L. Gramm, Ph.D.
Former Chairman, Commodity Futures Trading Commission
"The editors have gathered some of the finest minds to present the latest techniques and analytical tools for complex issues currently faced by market participants. Advanced Strategies in Financial Risk Management is essential reading for all financial managers to understand today's sophisticated approaches to risk measurement and control."
-Donald S. Howard
Chief Financial Officer, Saloman Inc.
"Bob Schwartz and Clifford Smith have put together another highly interesting and useful book. This continuing drive to expand our understanding of the nooks and crannies of the derivatives market is most welcome. It provides a further insight into the products and their uses and helps market participants, their managers, and regulators in their efforts to further improve professionalism in the market."
-Malcolm Basing
Managing Director, Global Swaps, Swiss Bank Corporation