Corporate foreign exchange risk management /
"Corporate Foreign Exchange Risk Management offers a highly accessible yet thorough guide to FX exposure management that will appeal to anyone with who is responsible for managing a profit & loss or balance sheet affected by FX fluctuations or who wants to understand how FX fluctuations aff...
Clasificación: | Libro Electrónico |
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Autores principales: | , , |
Formato: | Electrónico eBook |
Idioma: | Inglés |
Publicado: |
Hoboken, New Jersey :
John Wiley & Sons, Ltd.,
2020.
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Temas: | |
Acceso en línea: | Texto completo (Requiere registro previo con correo institucional) |
Tabla de Contenidos:
- Cover
- Title Page
- Copyright
- Contents
- Acknowledgements
- About the Authors
- Preface
- Key Terms and Abbreviations
- Introduction
- Two Stylized Facts About Exchange Rates
- A Definition of FXRM
- Quoting Exchange Rates
- Outline of the Book
- Further Reading
- Chapter 1 Why Manage Foreign Exchange Risk?
- From Individual Risk Management to Corporate Risk Management
- The Case for FXRM: Cash Flow Hedging
- The Case for FXRM: Protecting Financial Ratios
- The Case for FXRM: Managing Net Income Variability
- Key Chapter Takeaways
- Further Reading
- Chapter 2 Commercial Exposure to FX
- The Basics of Transaction Exposure
- Forecasting Net Exposures
- A Simple Model of Commercial Exposure
- Competitive Exposures
- The Mystery of the 'Underlying' Currency
- Shortcomings of the Bottom-up Method
- The Statistical Method of Exposure Measurement
- Key Chapter Takeaways
- Further Reading
- Chapter 3 Net Income Exposure to FX
- The Basics of Translation Exposure
- Monetary vs Non-monetary Assets
- The Issue of Functional vs Transaction Currency
- The Exposure Matrix
- External Exposures on Internal Transactions
- Key Chapter Takeaways
- Further Reading
- Chapter 4 Balance Sheet Exposure to FX
- The Basics of Non-monetary Assets and Liabilities
- Reconciling the Exposure Matrix with Shareholders' Equity
- Reconciling Internal Transactions with Shareholder's Equity
- Reconciling Translation of Income with Shareholder's Equity
- The Currency Translation Reserve: A Summary
- Key Chapter Takeaways
- Further Reading
- Chapter 5 FX Derivatives Explained
- The Basics of Forward Contracts
- Determining Forward Rates
- FX Futures Contracts
- Currency Swaps
- The Basics of FX Options
- Options from an FXRM Point of View
- Key Chapter Takeaways
- Further Reading
- Chapter 6 Hedge Accounting Explained
- Background
- Cash Flow vs Fair Value Hedging
- Cash Flow Hedging: Basic Principles
- Hedge Accounting: An Example
- Fair Value Hedge: An Example
- Net Investment Hedge: An Example
- Requirements for Hedge Accounting
- Some Perspectives on Hedge Accounting
- Key Chapter Takeaways
- Further Reading
- Chapter 7 Centralizing Exposure Management
- Centralized FX Hedging Defined
- Benefits of Centralization
- Internal Hedging Arrangements
- Dealing with FX Exposures in Business Units
- The Centralization Process
- Key Chapter Takeaways
- Further Reading
- Chapter 8 Integrated Risk Management
- Silo-Based Risk Management
- The Core Principles of IRM
- Netting Exposures
- Correlation Analysis
- Total Corporate Performance
- IRM Programmes: Beyond the Core Principles
- Key Chapter Takeaways
- Further Reading
- Chapter 9 Managing FX Risk Exposures
- Getting the Basics Right
- A Hierarchy of FX Risk Management Strategies
- Balancing Economics and Financial Management
- Due Diligence of FXRM Policy Proposals