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International Finance and Risk Management

Edited by Alfonso Mendoza Velázquez (autor)

in Books from Centro de Investigación e Inteligencia Económica (CIIE), Departamento de Ciencias Sociales - UPAEP

Abstract: This eBook covers the more relevant subjects in international finance and risk managment from an emerging markets perspective. The general approach is on open economy macroeconomics, very useful to comprehend the main effects of the financial crisis of 2008 and understand international finance implications. There is also a discussion of currency crisis models and a complete analysis of the recent housing crisis and its worldwide contagion. In addition the book emphasizes foreign exchange market operations, the use of derivatives such us futures and options as tools of risk management and a discussion on the applicability of international parity conditions.

Keywords: International Finance; Risk Management; Open Economy Macroeconomics (search for similar items in EconPapers)
JEL-codes: F31 F32 F33 F34 F41 G01 G11 G13 (search for similar items in EconPapers)
Date: 2013
Edition: 0
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