Foreign Exchange International Finance Risk Management
ISBN: 81-86234-29-2; New Revised 4th Edn. (August 2004); Rs 390; USD 50 Authored by AV Rajwade
Publisher: Academy of Business Studies, 24/4866 Sheeltara House, Ansari Road, New Delhi 110002; Tel: 011-2328 1314, 30183570-74; Fax: 011-2325 2880; Email: academy@vsnl.in/studies1@eth.net
The author has worked with the State Bank of India in India and abroad. As a consultant in forex exposure management and international finance with an immense fund of experience drawn over the last 20 years, there are few who are equal to Mr. Rajwade in the high stakes world of Foreign Exchange, International Finance or Risk Management.
Covers
Ø Forex Markets and Exchange Arithmetic
Ø Sources of International Finance (Debt and Capital)
Ø Derivatives – Futures, Options, Swaps, Derivative Trading, Projecting Exchange Rates
Ø Risk Management – Policies, Systems & Control Mechanisms, Short Term and Medium Term Exposures
Ø Interest Rate Risk Management – Yield to maturity. Spot & Forward Interest Rates, Macaulay duration etc.
Ø New Chapters on Risk Management Failures (Barings, LTCM etc)
Ø
Documentation and Asset Liability Management for Banks