Fr. 136.00

Managing Commodity Risk - Using Commodity Futures and Options

English · Hardback

Shipping usually within 3 to 5 weeks

Description

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Most businesses will face commodity risk in some form. It is how the company manages this risk that will help to determine the success of the firm. In this highly practical book, John J. Stephens explains in a clear concise manner the best techniques for managing such risks. Aimed at the ordinary businessperson, this book is a practical primer for those who wish to manage and minimise the risk to their industry, through instruments such as commodity futures, without wishing to have the technical knowledge of professional financiers.
This book provides the ideal starting point for the good manager not only to minimise commodity risk but to gain benefit also.

List of contents










List of Tables.

Commodity Risk, Commodity Futures and the Management Function.

The Commodity Markets and Their Instruments.

Commodity Futures Exchanges.

Mechanics of the Marketplace.

Hedging with Commodity Futures and Options -
The User's Hedge.

Hedging with Commodity Futures and Options -
The Producer's Hedge.

Creative Commodity Risk Management.

Index.

About the author










JOHN J STEPHENS has considerable practical experience of commodities trading and runs a training company specialising in the futures and futures options markets. For 10 years he was CEO of a management consultancy firm with many large international clients, whilst from 1992 onwards he worked in the financial services sector for first SANLAM and later ABSA Bank, specialising in market and financial product development. He is also an advocate of the Supreme Court of South Africa.

Summary

Managing Commodity Risk is a clear and practical guide to managing commodity risk and explains how the commodity futures markets can be used to the managera s advantage.

Product details

Authors Stephens, John Stephens, John J Stephens, John J. Stephens, Stephens John J.
Publisher Wiley
 
Languages English
Product format Hardback
Released 27.10.2000
 
EAN 9780471866251
ISBN 978-0-471-86625-1
No. of pages 256
Dimensions 176 mm x 251 mm x 19 mm
Weight 595 g
Series Wiley Finance
Institute of Internal Auditors Risk Management Series
Institute of Internal Auditors Risk Management Series
Subjects Social sciences, law, business > Business > Business administration

Business & Economics / Investments & Securities / General, Commodities, Investment and securities

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