株式会社極東書店トップ商品一覧Risk Management, Derivatives, and Financial Analysis under SFAS No. 133.

商品詳細

Risk Management, Derivatives, and Financial Analysis under SFAS No. 133.

Risk Management, Derivatives, and Financial Analysis under SFAS No. 133.

・ISBN 978-0-943205-51-9 paper

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著者・編者Gastineau, Gary L. / Smith, D. J. / Todd, R.,
出版社(Blackwell, UK)
出版年月2001
ページ数110 pp.
言語ENG
ニュース番号<480-581 480-L41>

解説

Senior Vice President, New Products Development at the American Stock Exchange Risk management is concerned with the tradeoffs between financial risk and reward that inevitably face a firm's managers, its board of directors, and ultimately its shareholders. Although risk management itself is not new, what is new are the complicated financial instruments being used to manage risk-instruments that are frequently classified under the seemingly simple category of "derivatives." Use of these instruments have largely gone unreported in financial statements, much to the dismay of financial analysts and in contrast to their ideal of transparency. This volume explains firm's use of risk management practices and how those practices can be accounted. Coverage includes a practical and theoretical basis for risk management information on how a firm's use of derivatives affects financial analysts recent reforms in accounting for derivatives.