Corporate Foreign Exchange Risk Management

Author:   Lars Oxelheim (Scandinavian Institute for Foreign Exchange Research) ,  Alf Alviniussen ,  Hakan Jankensgard
Publisher:   John Wiley & Sons Inc
ISBN:  

9781119598862


Pages:   224
Publication Date:   30 April 2020
Format:   Hardback
Availability:   Out of stock   Availability explained
The supplier is temporarily out of stock of this item. It will be ordered for you on backorder and shipped when it becomes available.

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Corporate Foreign Exchange Risk Management


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Author:   Lars Oxelheim (Scandinavian Institute for Foreign Exchange Research) ,  Alf Alviniussen ,  Hakan Jankensgard
Publisher:   John Wiley & Sons Inc
Imprint:   John Wiley & Sons Inc
Dimensions:   Width: 16.00cm , Height: 2.80cm , Length: 23.40cm
Weight:   0.522kg
ISBN:  

9781119598862


ISBN 10:   1119598869
Pages:   224
Publication Date:   30 April 2020
Audience:   Professional and scholarly ,  Professional & Vocational
Format:   Hardback
Publisher's Status:   Active
Availability:   Out of stock   Availability explained
The supplier is temporarily out of stock of this item. It will be ordered for you on backorder and shipped when it becomes available.

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HÅKAN JANKENSGÅRD is Associate Professor in Corporate Finance at Lund University where he teaches a Master-level course in corporate risk management. He has done extensive academic research on firms' risk management strategies and frameworks for integrated risk management. Previously, Dr Jankensgård was corporate risk manager at Norsk Hydro. ALF ALVINIUSSEN has 42 years of experience in leading positions within Corporate Finance and Treasury at Norsk Hydro ASA. Mr Alviniussen is now an independent consultant and since 2013 a member of Stakeholder Groups of the EU regulatory bodies European Banking Authority (EBA) and European Insurance and Occupational Pension Authority (EIOPA). LARS OXELHEIM is professor of International Business and Finance at the University of Agder, Kristiansand, Norway and affiliated with the Research Institute of Industrial Economics (IFN), Stockholm, Sweden. His research interests include the interplay between the firm and its macroeconomic environment, encompassing economic and financial integration as well as managerial aspects, corporate governance, and risk management. He has published some 45 books and numerous academic articles many of which address macroeconomic influences on corporate performance.

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