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|a Derivatives and risk management /
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|a Managerial finance,
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|a An increasingly important aspect of managerial finance, derivatives and risk management practices internationally can provide some important lessons. Issues in Sweden, Hong Kong, Singapore, the UK and the US are addressed in this e-book, along with references to exchange rate exposure, the use of options and stock returns of US banks.
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|a Cover; CONTENTS; EDITORIAL ADVISORY BOARD; Corporate risk management in Hong Kong and Singapore; Derivative usage by non-financial firms in Sweden 1996 and 2003: what has changed?; The exchange rate exposure of UK nonfinancial companies: industry level analysis; Derivatives use and risk management practices by UK nonfinancial companies; The use of options in corporate risk management; The sensitivity of US banks' stock returns to interest rate and exchange rate changes; Calls for papers; Announcement
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|a El-Masry, Ahmed A.
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|a Managerial finance ;
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