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Published Date

January 2006

Derivatives and Risk Management in Shipping

$167.94
(Excludes any applicable taxes)

This book deals with the theory and practice of risk management in the shipping industry. This book is split nine sections that deal with various aspects of risk management in the Shipping Industry. It provides the theory underlying the use of derivatives and deals with the practice of the use of derivatives for risk management and investment purposes. It then analyses the sources of risk in the shipping business and proposes ''traditional'' strategies for risk management at both the investment and operational level of the business. Traditional methods of risk management are compared and contrasted with those involving financial derivatives and the different solutions offered by the various types of derivative products are compared and practical applications examined.

 

PUBLISHED DATE: JANUARY 2006
No. OF PAGES: 392

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A number of the concepts presented in this book appear for the first time in the subject literature. And it will further enhance knowledge of risk management and derivatives in the shipping industry.
Finally, this book can provide solutions and become a point of reference for other industries with similar characteristics that wish to deal with the issue of risk management through the use of derivatives.

Title: Derivatives and Risk Management in Shipping
Edition: First Edition
Number of Pages: 392
Product Code: 4400W145
ISBN: ISBN 13: 978-1-85609-310-1 (9781856093101), ISBN 10: 1-85609-310-7 (1856093107)
Published Date: January 2006
Binding Format: Paperback
Book Height: 240 mm
Book Width: 170 mm
Book Spine: 23 mm
Weight: 0.80 kg
Author: Piero Caridis

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