Management of Foreign Exchange Risk Management of Foreign Exchange Risk
Banking, Money and International Finance

Management of Foreign Exchange Risk

Evidence from Developing Economies

    • USD 54.99
    • USD 54.99

Descripción editorial

This book provides a technical and specialised discussion of contemporary and emerging issues in foreign exchange and financial markets by addressing the issues of risk management and theory and hypothesis development, which have general implications for finance theory and foreign exchange market management. It offers an in-depth, comprehensive analysis of the issues concerning the volatility of exchange rates.

The book has three main objectives. First, it applies the integrated study of exchange rate volatility in terms of depth and breadth. Second, it applies the integrated study of exchange rate volatility in Malaysia, as a case study of a developing country. Malaysia had imposed capital control measures in the past and has now liberalised its exchange rate market and will continue to liberalise it further in the long run. Hence, the need to understand exchange rate volatility measurement and management will be even more important in the future. Third, the book highlights new conditional volatility models for a developing country, such as Malaysia, and develops advanced econometric models which have produced results for sound risk management strategies and for achieving risk management in the financial market and the economy. Additionally, the authors recommend risk management themes which may be of relevance to other developing countries.

This work can be used as a reference book by fund managers, financial market analysts, researchers, academics, practitioners, policy makers and postgraduate students in the areas of finance, accounting, business and financial economics. It can also be a supplementary text for Ph.D. and Masters’ students in these areas.

GÉNERO
Negocios y finanzas personales
PUBLICADO
2020
2 de septiembre
IDIOMA
EN
Inglés
EXTENSIÓN
290
Páginas
EDITORIAL
Taylor & Francis
VENTAS
Taylor & Francis Group
TAMAÑO
13.9
MB

Otros libros de esta serie

Artificial Intelligence and Big Data for Financial Risk Management Artificial Intelligence and Big Data for Financial Risk Management
2022
Inflation Targeting and Central Banks Inflation Targeting and Central Banks
2021
Global Stock Market Development Global Stock Market Development
2021
Understanding the Polish Capital Market Understanding the Polish Capital Market
2022
The Economics and Finance of Commodity Price Shocks The Economics and Finance of Commodity Price Shocks
2021
The Digital Disruption of Financial Services The Digital Disruption of Financial Services
2021