Managerial methods to control derivatives losses
Year of publication: |
2010
|
---|---|
Authors: | Leoni, Patrick Lucien |
Published in: |
Finance and banking developments. - New York, NY : Nova Science Publ., ISBN 978-1-60876-329-0. - 2010, p. 179-184
|
Subject: | Derivat | Derivative | Spekulation | Speculation | Hedging | Risikomanagement | Risk management | Institutioneller Investor | Institutional investor |
-
The relationship between earnings volatility and corporate risk disclosures
Rammala, Johannes, (2024)
-
Risk management, speculation, and derivative securities
Poitras, Geoffrey, (2002)
-
On the determinants of speculation : a case for extended disclosures in corporate risk management1
Hecht, Andreas, (2017)
- More ...
-
Psychological aspects of market crashes
Leoni, Patrick Lucien, (2007)
-
Anticipation, ocurrence and magnitude of market crashes
Leoni, Patrick Lucien, (2008)
-
Banking regulation without commitment to audit
Leoni, Patrick Lucien, (2005)
- More ...