A Practitioner's Guide to Managing Risk
Buch, Englisch, 169 Seiten, Format (B × H): 160 mm x 241 mm, Gewicht: 448 g
ISBN: 978-3-031-44464-7
Verlag: Springer Nature Switzerland
This book offers a simplified, clear, and logical explanation of risk and hedging in oil trading built up from basics. It provides techniques to identify and manage risk—legal risk, operational risk, financial risk, moral risk, etc.—in oil trading with the key chapters discussing price risk and hedging. Written by an industry expert with real-world experience and featuring examples based on real trades, the book allows readers to understand the principles and applications without being overwhelmed or misled by jargon and assumptions, and will be of interest to commodity traders, investment bankers, risk managers, and anyone looking to gain further knowledge about oil market risks and hedging.
Zielgruppe
Professional/practitioner
Autoren/Hrsg.
Fachgebiete
Weitere Infos & Material
Chapter 1: Introduction.- Chapter 2: What is Risk?.- Chapter 3: Some, but not All, of the Risks in Trading.- Chapter 4: Managing Risk.- Chapter 5: Price Risk.- Chapter 6: Hedging Price Risk.- Chapter 7: Using Basis Risk as a Trading Strategy.- Chapter 8: Basic Derivatives.- Chapter 9: Futures Contracts and Forward Contracts.- Chapter 10: Options.- Chapter 11: Hedging and Portfolio Risk.- Chapter 12: Conclusion.