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Zabezpieczenie paliwowe i zarządzanie ryzykiem: strategie dla linii lotniczych, spedytorów i innych

Tekst oryginalny
Fuel Hedging and Risk Management: Strategies for Airlines, Shippers and Other
AlibrisBooks
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US $102,54
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Parametry przedmiotu

Stan
Dobry: Książka, która była czytana, ale nadal jest w dobrym stanie. Na okładce widoczne są ...
Publication Date
2016-04-01
ISBN
9781119026723
Book Title
Fuel Hedging and Risk Management : Strategies for Airlines, Shippers and Other Consumers
Book Series
The Wiley Finance Ser.
Publisher
Wiley & Sons, Incorporated, John
Item Length
9.9 in
Publication Year
2016
Format
Hardcover
Language
English
Illustrator
Yes
Item Height
0.9 in
Author
Vishnu N. Gajjala, Simo M. Dafir
Genre
Transportation, Business & Economics
Topic
Aviation / Repair & Maintenance, Decision-Making & Problem Solving, Finance / General, Aviation / Commercial, Investments & Securities / General
Item Weight
24.1 Oz
Item Width
7 in
Number of Pages
320 Pages

O tym produkcie

Product Identifiers

Publisher
Wiley & Sons, Incorporated, John
ISBN-10
1119026725
ISBN-13
9781119026723
eBay Product ID (ePID)
208754988

Product Key Features

Book Title
Fuel Hedging and Risk Management : Strategies for Airlines, Shippers and Other Consumers
Number of Pages
320 Pages
Language
English
Publication Year
2016
Topic
Aviation / Repair & Maintenance, Decision-Making & Problem Solving, Finance / General, Aviation / Commercial, Investments & Securities / General
Illustrator
Yes
Genre
Transportation, Business & Economics
Author
Vishnu N. Gajjala, Simo M. Dafir
Book Series
The Wiley Finance Ser.
Format
Hardcover

Dimensions

Item Height
0.9 in
Item Weight
24.1 Oz
Item Length
9.9 in
Item Width
7 in

Additional Product Features

Intended Audience
Trade
LCCN
2015-047724
Dewey Edition
23
Dewey Decimal
332.644228
Synopsis
A hands-on guide to navigating the new fuel markets Fuel Hedging and Risk Management: Strategies for Airlines, Shippers and Other Consumers provides a clear and practical understanding of commodity price dynamics, key fuel hedging techniques, and risk management strategies for the corporate fuel consumer. It covers the commodity markets and derivative instruments in a manner accessible to corporate treasurers, financial officers, risk managers, commodity traders, structurers, as well as quantitative professionals dealing in the energy markets. The book includes a wide variety of key topics related to commodities and derivatives markets, financial risk analysis of commodity consumers, hedge program design and implementation, vanilla derivatives and exotic hedging products. The book is unique in providing intuitive guidance on understanding the dynamics of forward curves and volatility term structure for commodities, fuel derivatives valuation and counterparty risk concepts such as CVA, DVA and FVA. Fully up-to-date and relevant, this book includes comprehensive case studies that illustrate the hedging process from conception to execution and monitoring of hedges in diverse situations. This practical guide will help the reader: Gain expert insight into all aspects of fuel hedging, price and volatility drivers and dynamics. Develop a framework for financial risk analysis and hedge programs. Navigate volatile energy markets by employing effective risk management techniques. Manage unwanted risks associated with commodity derivatives by understanding liquidity and credit risk calculations, exposure optimization techniques, credit charges such as CVA, DVA, FVA, etc., A hands-on guide to navigating the new fuel markets Fuel Hedging and Risk Management: Strategies for Airlines, Shippers and Other Consumers provides a clear and practical understanding of commodity price dynamics, key fuel hedging techniques, and risk management strategies for the corporate fuel consumer., Praise for Fuel Hedging and Risk Management "Risk Management is an art, not a science, but it certainly helps to know a lot of science. In this book, the authors provide an excellent overview of both qualitative and quantitative aspects of risk management and how to design and implement effective win-win fuel oil hedging strategies that will achieve the desired objectives under normal and extreme market conditions. "In addition to discussing key foundational issues, the book also discusses a framework to understand and manage hugely important second-order effects, such as credit risk or margin calls or asset-liability mismatches, which have the potential to turn a good idea into a bad outcome. A must read for anyone in the finance department of a corporate, trade house, or financial firm involved in fuel oil hedging." Diego Parrilla, former Global Head of Commodity Solutions and Head of Commodities, Bank of America "This book provides highly useful insights into hedging and risk management methodologies, as well as theory, for the users of energy products. Dafir provides intuition stemming from not just top-tier commodity structuring expertise, but also broader insight from his earlier experience as a credit derivatives and exotics trader." Mitch Matharu, former Head of Structuring, Merrill Lynch (Asia Pacific) "An absolute must-read. From the fundamentals of oil markets to the key points in negotiating a credit agreement and minimizing hedging costs, passing by the subtleties of implied volatility surface construction and its implications in derivatives pricing, this book offers you the indispensable practitioners toolbox, useful whether you are a novice or a seasoned fuel trader." Frederic Cogny, Global Head of Commodities Structured Products Trading, Standard Chartered Bank "In this book, Dafir blends his deep knowledge of the commodity markets and the vagaries of the financial market with his incredible mathematical ability to explore fuel hedging in a manner accessible to Fuel Procurement Departments, CFOs and board members." Mark Long, former Head and Managing Director of Merrill Lynch Commodities Asia "This book is a hands-on guide for anyone interested in fuel hedging and risk management, including lawyers involved in the execution of commodities hedging transactions and related ISDA and CSA negotiations." Justin Boyd, former Head of Financial Markets Legal, Standard Chartered Bank
LC Classification Number
HE9782.D33 2016

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