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Derivatives for Decision Makers: Strategic Management Issues (Wiley Series in Financial Engineering)
 
 
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Derivatives for Decision Makers: Strategic Management Issues (Wiley Series in Financial Engineering) [Hardcover]

George Crawford (Author), Bidyut Sen (Author)
3.5 out of 5 stars  See all reviews (2 customer reviews)

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Book Description

0471129941 978-0471129943 July 1996 22
"A brilliantly conceived and lucidly written exposition of the most important topic on the frontier of modern finance. This book takes the mystery out of derivatives. Bravo!"—John H. Langbein, Professor, Yale Law School

"Derivatives for Decision Makers is a first in explaining derivatives to those who need to understand them. It explains what derivatives are, how they can be used as risk management tools, and what managers and decision makers need to know about the subject. Not only is the technical substance superb, but the form is accessible to all decision makers."—Afsaneh Mashayekhi Beschloss, Director, The World Bank Group

"Derivatives for Decision Makers is an excellent resource for both users and providers of derivative products, regardless of the reader's level of sophistication. The recent highly publicized derivatives problems are objectively reviewed by the authors who contribute important and sensible recommendations to avoid similar situations in the future."—Dipak K. Rastogi, Executive Vice President and former Head of Global Derivatives, Citibank, N. A.

"Derivatives can play a critical role in achieving corporate financing and investment strategies. Whether you are a novice or a seasoned practitioner, Crawford and Sen present a superb roadmap with well-chosen, real-world illustrations. Their vivid insights make this book a 'must-read' for corporate and pension fund managers."—Sandra S. Wijnberg, Vice President & Assistant Treasurer, PepsiCo, Inc.

"Crawford and Sen have done a fine job of making derivatives comprehensible for managers who need to understand the basic features and uses of these instruments. This coverage, together with the book's unique emphasis on senior management's fiduciary obligations to the firm's shareholders, sets this book apart from other attempts to make derivatives accessible to senior management. This book is an important read."—John F. Marshall, Executive Director, International Association of Financial Engineers and Professor of Financial Engineering, Polytechnic University

Derivatives are the power tools that enable users to analyze components of risk and return inherent in an investment or a business. The popularity of derivative use in the marketplace has surged in recent years, spurring financial innovation and better risk management. Yet this popular instrument is double-edged: derivatives are as risky as they are beneficial. In light of recent, highly publicized disasters—the Orange County bankruptcy and the Barings fiasco—it is imperative that business and finance professionals have a current and basic knowledge of this complicated and venturesome field.

If you are a shareholder, director, or other decision maker in a company utilizing derivatives, it is important that you know how to maximize the benefits of derivatives and minimize the damage that they can cause. Now, two leading financial experts provide the solid principles you need to understand and properly use derivative products and structured financing. Starting upwards from the ground floor, this straightforward, no-nonsense resource is replete with tables, graphs, and common examples and common sense, offering invaluable information on:

  • The three major types of derivatives-options, futures, and swaps
  • Leverage—what it is, why it is so important, how it is used to increase returns, and how it multiplies risk
  • Hedging a stock portfolio and hedging industry risk with synthetic futures
  • Business risks—core and secondary risks; which business risks to hedge with derivatives
  • Investment strategies using derivatives
  • Derivative risks—market, credit, legal, and systemic
  • Fiduciary duties—the duties of loyalty and care, exceptions, the prudent investor rule, business judgment, rule and disclosure requirements
  • Delegating management functions—selecting, instructing, and monitoring experts

Whether you're a manager, director, attorney, accountant, corporate executive, or corporate shareholder, this comprehensive book will prove to be an invaluable guide on utilizing and handling derivatives wisely, resourcefully, and successfully.


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Editorial Reviews

From the Publisher

Written in down-to-earth language everyone can understand, this book uses common examples from business and the markets to explain how derivatives work and how they are being used right now. Armed with its insights, executives, attorneys, accountants, and corporate board members will understand derivatives well enough to ask the right questions of themselves, their employees and their trusted advisors. It covers the principles of derivatives, from their use in common situations such as refinancing a mortgage, through advanced financial applications. Goes beyond media coverage to explain recent derivatives use, misuse, and regulation.

From the Back Cover

"A brilliantly conceived and lucidly written exposition of the most important topic on the frontier of modern finance. This book takes the mystery out of derivatives. Bravo!"—John H. Langbein, Professor, Yale Law School

"Derivatives for Decision Makers is a first in explaining derivatives to those who need to understand them. It explains what derivatives are, how they can be used as risk management tools, and what managers and decision makers need to know about the subject. Not only is the technical substance superb, but the form is accessible to all decision makers."—Afsaneh Mashayekhi Beschloss, Director, The World Bank Group

"Derivatives for Decision Makers is an excellent resource for both users and providers of derivative products, regardless of the reader's level of sophistication. The recent highly publicized derivatives problems are objectively reviewed by the authors who contribute important and sensible recommendations to avoid similar situations in the future."—Dipak K. Rastogi, Executive Vice President and former Head of Global Derivatives, Citibank, N. A.

"Derivatives can play a critical role in achieving corporate financing and investment strategies. Whether you are a novice or a seasoned practitioner, Crawford and Sen present a superb roadmap with well-chosen, real-world illustrations. Their vivid insights make this book a 'must-read' for corporate and pension fund managers."—Sandra S. Wijnberg, Vice President & Assistant Treasurer, PepsiCo, Inc.

"Crawford and Sen have done a fine job of making derivatives comprehensible for managers who need to understand the basic features and uses of these instruments. This coverage, together with the book's unique emphasis on senior management's fiduciary obligations to the firm's shareholders, sets this book apart from other attempts to make derivatives accessible to senior management. This book is an important read."—John F. Marshall, Executive Director, International Association of Financial Engineers and Professor of Financial Engineering, Polytechnic University

Derivatives are the power tools that enable users to analyze components of risk and return inherent in an investment or a business. The popularity of derivative use in the marketplace has surged in recent years, spurring financial innovation and better risk management. Yet this popular instrument is double-edged: derivatives are as risky as they are beneficial. In light of recent, highly publicized disasters—the Orange County bankruptcy and the Barings fiasco—it is imperative that business and finance professionals have a current and basic knowledge of this complicated and venturesome field.

If you are a shareholder, director, or other decision maker in a company utilizing derivatives, it is important that you know how to maximize the benefits of derivatives and minimize the damage that they can cause. Now, two leading financial experts provide the solid principles you need to understand and properly use derivative products and structured financing. Starting upwards from the ground floor, this straightforward, no-nonsense resource is replete with tables, graphs, and common examples and common sense, offering invaluable information on: The three major types of derivatives-options, futures, and swaps Leverage—what it is, why it is so important, how it is used to increase returns, and how it multiplies risk Hedging a stock portfolio and hedging industry risk with synthetic futures Business risks—core and secondary risks; which business risks to hedge with derivatives Investment strategies using derivatives Derivative risks—market, credit, legal, and systemic Fiduciary duties—the duties of loyalty and care, exceptions, the prudent investor rule, business judgment, rule and disclosure requirements Delegating management functions—selecting, instructing, and monitoring experts

Whether you're a manager, director, attorney, accountant, corporate executive, or corporate shareholder, this comprehensive book will prove to be an invaluable guide on utilizing and handling derivatives wisely, resourcefully, and successfully.

BIDYUT SEN is a Managing Director of Morgan Stanley & Co., Inc. where he is the global head of Structured Asset Management and a former co-head of the Worldwide Derivative Products Group. He has been a leading figure in derivative products and structured financing for more than a decade and is responsible for a number of innovations in that area.


Product Details

  • Hardcover: 240 pages
  • Publisher: Wiley; 22 edition (July 1996)
  • Language: English
  • ISBN-10: 0471129941
  • ISBN-13: 978-0471129943
  • Product Dimensions: 9.4 x 6.3 x 0.8 inches
  • Shipping Weight: 1.1 pounds (View shipping rates and policies)
  • Average Customer Review: 3.5 out of 5 stars  See all reviews (2 customer reviews)
  • Amazon Best Sellers Rank: #2,368,439 in Books (See Top 100 in Books)

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Average Customer Review
3.5 out of 5 stars (2 customer reviews)
 
 
 
 
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1 of 1 people found the following review helpful:
2.0 out of 5 stars Don't know derivatives? Me neither!, December 2, 1997
By A Customer
This review is from: Derivatives for Decision Makers: Strategic Management Issues (Wiley Series in Financial Engineering) (Hardcover)
I really hoped that this book would explain the use of derivatives (a financial risk management tool) is a simple way, but alas, it was still too highbrow for a layperson like me. Perhaps I should have paid more attention in math class, but I still don't really understand how, when, or why to use them. However, I will persevere and find a book that can explain the use of derivatives in a more pedestrian manner. Thanks!
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5.0 out of 5 stars Great Book!!!!, August 16, 2002
By 
Todd M Shissler (Chicago, IL United States) - See all my reviews
This review is from: Derivatives for Decision Makers: Strategic Management Issues (Wiley Series in Financial Engineering) (Hardcover)
I loved this book. It was full of information that came alive. This book takes a dry, complex topic, and makes it exciting. It is a must read!!!
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Inside This Book (learn more)
First Sentence:
Derivatives come in many varieties. Read the first page
Key Phrases - Statistically Improbable Phrases (SIPs): (learn more)
synthetic futures, risk package, unauthorized trading, futures commission merchant, derivative investments, core risk, mortgage derivatives, secondary risks, derivatives portfolio, strike price, inverse floater, derivative dealer, prepayment option, leveraged investment, derivatives trader, time premium
Key Phrases - Capitalized Phrases (CAPs): (learn more)
Philip Morris, United States, Bankers Trust, New York, Looking Forward, Orange County, Hillary Clinton, Wall Street, Common Fund, General Motors, Can Business Risks Be Hedged, Measuring Risk, General Electric, Hong Kong, Kidder Peabody
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