Definitive handbook reveals strategies for managing global currency risk effectively.
"FX: Managing Global Currency Risk" is a comprehensive guide that helps corporations and financial institutions manage currency risk and maximize profits in the global foreign exchange markets. The handbook covers various strategies for risk management, including hedging instruments and pricing currency options. It also discusses corporate risk management techniques, accounting and tax issues, and the impact of currencies on equity and fixed-income portfolios. Additionally, the handbook explores how currencies can be treated as asset classes and explains overlay strategies for pension funds to manage FX risk effectively.