FROM THE PUBLISHER
A total strategy for minimizing the risks of derivatives and maximizing the
* Proven solutions for strengthening organizational control over derivatives
* Linking audit and risk management teams with traders and managers.
* Linking derivative operations with strategic objectives and capabilities.
Derivatives aren't inherently dangerous: it's how they're managed — or
mismanaged. Many organizations simply don't know how to effectively supervise
their use of derivatives. This book will show them.
It outlines key principles and an integrated, holistic, non-mathematical
approach to risk management that any financial manager can use: clear steps to
safety for every organization