Corporate foreign exchange risk management

"Corporate Foreign Exchange Risk Management offers a highly accessible yet thorough guide to FX exposure management that will appeal to anyone with who is responsible for managing a profit & loss or balance sheet affected by FX fluctuations or who wants to understand how FX fluctuations aff...

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Bibliographic Details
Main Authors: Jankensgård, Håkan, Alviniussen, Alf (Author), Oxelheim, Lars (Author)
Format: eBook
Language:English
Published: Hoboken, New Jersey John Wiley & Sons, Ltd. 2020
Subjects:
Online Access:
Collection: O'Reilly - Collection details see MPG.ReNa
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245 0 0 |a Corporate foreign exchange risk management  |c Håkan Jankensgård, Alf Alviniussen, Lars Oxelheim 
260 |a Hoboken, New Jersey  |b John Wiley & Sons, Ltd.  |c 2020 
300 |a xviii, 213 pages 
505 0 |a Includes bibliographical references and index 
505 0 |a Cover -- Title Page -- Copyright -- Contents -- Acknowledgements -- About the Authors -- Preface -- Key Terms and Abbreviations -- Introduction -- Two Stylized Facts About Exchange Rates -- A Definition of FXRM -- Quoting Exchange Rates -- Outline of the Book -- Further Reading -- Chapter 1 Why Manage Foreign Exchange Risk? -- From Individual Risk Management to Corporate Risk Management -- The Case for FXRM: Cash Flow Hedging -- The Case for FXRM: Protecting Financial Ratios -- The Case for FXRM: Managing Net Income Variability -- Key Chapter Takeaways -- Further Reading 
505 0 |a Chapter 2 Commercial Exposure to FX -- The Basics of Transaction Exposure -- Forecasting Net Exposures -- A Simple Model of Commercial Exposure -- Competitive Exposures -- The Mystery of the 'Underlying' Currency -- Shortcomings of the Bottom-up Method -- The Statistical Method of Exposure Measurement -- Key Chapter Takeaways -- Further Reading -- Chapter 3 Net Income Exposure to FX -- The Basics of Translation Exposure -- Monetary vs Non-monetary Assets -- The Issue of Functional vs Transaction Currency -- The Exposure Matrix -- External Exposures on Internal Transactions 
505 0 |a Key Chapter Takeaways -- Further Reading -- Chapter 4 Balance Sheet Exposure to FX -- The Basics of Non-monetary Assets and Liabilities -- Reconciling the Exposure Matrix with Shareholders' Equity -- Reconciling Internal Transactions with Shareholder's Equity -- Reconciling Translation of Income with Shareholder's Equity -- The Currency Translation Reserve: A Summary -- Key Chapter Takeaways -- Further Reading -- Chapter 5 FX Derivatives Explained -- The Basics of Forward Contracts -- Determining Forward Rates -- FX Futures Contracts -- Currency Swaps -- The Basics of FX Options 
505 0 |a Options from an FXRM Point of View -- Key Chapter Takeaways -- Further Reading -- Chapter 6 Hedge Accounting Explained -- Background -- Cash Flow vs Fair Value Hedging -- Cash Flow Hedging: Basic Principles -- Hedge Accounting: An Example -- Fair Value Hedge: An Example -- Net Investment Hedge: An Example -- Requirements for Hedge Accounting -- Some Perspectives on Hedge Accounting -- Key Chapter Takeaways -- Further Reading -- Chapter 7 Centralizing Exposure Management -- Centralized FX Hedging Defined -- Benefits of Centralization -- Internal Hedging Arrangements 
505 0 |a Dealing with FX Exposures in Business Units -- The Centralization Process -- Key Chapter Takeaways -- Further Reading -- Chapter 8 Integrated Risk Management -- Silo-Based Risk Management -- The Core Principles of IRM -- Netting Exposures -- Correlation Analysis -- Total Corporate Performance -- IRM Programmes: Beyond the Core Principles -- Key Chapter Takeaways -- Further Reading -- Chapter 9 Managing FX Risk Exposures -- Getting the Basics Right -- A Hierarchy of FX Risk Management Strategies -- Balancing Economics and Financial Management -- Due Diligence of FXRM Policy Proposals 
653 |a BUSINESS & ECONOMICS / Corporate Governance / bisacsh 
653 |a Corporations / Finance / http://id.loc.gov/authorities/subjects/sh85032938 
653 |a Corporations / Finance / fast 
653 |a Foreign exchange market / http://id.loc.gov/authorities/subjects/sh91004890 
653 |a Marché des changes 
653 |a Finances / Gestion du risque 
653 |a Foreign exchange market / fast 
653 |a Financial risk management / http://id.loc.gov/authorities/subjects/sh2005007073 
653 |a Financial risk management / fast 
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700 1 |a Oxelheim, Lars  |e author 
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520 |a "Corporate Foreign Exchange Risk Management offers a highly accessible yet thorough guide to FX exposure management that will appeal to anyone with who is responsible for managing a profit & loss or balance sheet affected by FX fluctuations or who wants to understand how FX fluctuations affect the firm more generally. The effective FX risk manager needs to be able to navigate both the worlds of financial management and economics. Whereas academics tend to talk about the economics of the risk management decision, the reality for the corporate manager is a strong and never-ending attention on performance metrics heavily impacted by accounting rules. This book is about bridging and demystifying these two worlds and equipping the manager with the tools and knowledge to deal effectively with a broad range of matters related to foreign exchange risk management"--