Buy New

or
Sign in to turn on 1-Click ordering.
Buy Used
Used - Like New See details
$21.98 & eligible for FREE Super Saver Shipping on orders over $25. Details

or
Sign in to turn on 1-Click ordering.
 
   
Sell Back Your Copy
For a $0.90 Gift Card
Trade in
More Buying Choices
Have one to sell? Sell yours here
Global Investment Risk Management
 
 
Tell the Publisher!
I'd like to read this book on Kindle

Don't have a Kindle? Get your Kindle here, or download a FREE Kindle Reading App.

Global Investment Risk Management [Hardcover]

Ezra Zask (Author)
3.0 out of 5 stars  See all reviews (2 customer reviews)

Price: $65.00 & this item ships for FREE with Super Saver Shipping. Details
o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o o
Temporarily out of stock.
Order now and we'll deliver when available. We'll e-mail you with an estimated delivery date as soon as we have more information. Your account will only be charged when we ship the item.
Ships from and sold by Amazon.com. Gift-wrap available.

Formats

Amazon Price New from Used from
Hardcover $65.00  
Paperback --  

Book Description

McGraw-Hill Library of Investment and Finance October 15, 1999
GLOBAL INVESTMENT RISK MANAGEMENT outlines hands-on systems, policies, and procedures that will help you take advantage of the returns available in overseas markets, while keeping closer track of the risks--not only those risks you can see but those you cannot. This practical guide to understanding and managing all aspects of international investment risk--from currency and equity risk to interest rate and commodity risk--includes: When, how, and why to use futures, options, swaps, and customized derivatives; Emerging markets investment strategies to help you seize ground-floor opportunities--while hedging against financial meltdowns; Cautionary tales of mega-billion dollar investment debacles--and how they could have been avoided; Long-term global diversification strategies from asset allocation pioneer Roger C. Gibson; Steps to design a detailed risk management program that fits your institution's risk and investment objectives; A detailed introduction and explanation of Value at Risk (VaR); Internet resources for valuable and cost-free global investment risk management information. Combining the knowledge and experience of 20 of the world's foremost global investment experts, GLOBAL INVESTMENT RISK MANAGEMENT is the first guidebook that explains--in practical and easy-to-understand language--how to understand and hedge against everpresent international investment risks. It will help you expand the boundaries of your investment program, ensuring that your organization makes full use of the world of investment opportunities, while sensibly and strategically hedging against international investment risks. Contributors include: David Beers. Vinod Chandrashekaran. Jason Cook. Christopher L. Culp. Ray Dalio. Roger C. Gibson. Steve H. Hanke. Joanne M. Hill. Michael J. Howell. Richard Johnston. Ira G. Kawaller. Ron Mensink. Ranga Nathan. Andrea M.P. Neves. Todd E. Petzel. Steven A. Schoenfeld. Istvan Szoke. Lee Thomas. Maria E. Tsu. Richard Vogel. Ezra Zask


Editorial Reviews

From the Back Cover

Proven Strategies for Hedging International Investment Risk—From Today's Most Respected Global Investment Professionals. Non-U.S. equities represent two-thirds of the world's market capitalization. The meaning for professional money managers and traders is clear: As investors demand higher investment returns and diversification, overseas investment is not just a luxury—it is a necessity. Global Investment Risk Management outlines hands-on strategies, policies, and procedures that will help you take advantage of the returns available in overseas markets, while keeping closer track of the risks—not only those risks you can see but those you cannot. Every aspect of global investment risk—from portfolio diversification requirements to unique regulatory issues—is discussed in chapters written by today's leading international investment authorities, including: Roger Gibson on Asset Allocation and the Rewards of Multi-Class Investing; Richard Vogel on Eastern European Risk Management; Lee Thomas on Reducing Risk Using Global Bond Diversification; Ray Dalio on Hedging Currency Risk; Christopher Culp, Ron Mensink, and Andrea M. P. Neves on Value at Risk. Global Investment Risk Management eschews vague theoretical observations to provide specific, hands-on advice, written by frontline professionals who prove themselves daily in the international investment battleground. It will open your eyes to the world of investment opportunities outside U.S. borders—even as it helps you sidestep the perils.

About the Author

Ezra Zask is a manager with Gibson Capital Management, Ltd., a leading money management and asset allocation firm. He is also a principal of CP Risk Management, LLC, a risk management consulting company, and president of Ezra Zask Associates, Inc., a funds management and advisory firm. Mr. Zask is a respected and influential authority in areas including international portfolio management, currency exposure management, and the use of derivatives in risk management.

Product Details

  • Hardcover: 316 pages
  • Publisher: McGraw-Hill; 1 edition (October 15, 1999)
  • Language: English
  • ISBN-10: 0071353151
  • ISBN-13: 978-0071353151
  • Product Dimensions: 9.3 x 6.2 x 1.1 inches
  • Shipping Weight: 3.2 pounds (View shipping rates and policies)
  • Average Customer Review: 3.0 out of 5 stars  See all reviews (2 customer reviews)
  • Amazon Best Sellers Rank: #1,450,279 in Books (See Top 100 in Books)

 

Customer Reviews

2 Reviews
5 star:
 (1)
4 star:    (0)
3 star:    (0)
2 star:    (0)
1 star:
 (1)
 
 
 
 
 
Average Customer Review
3.0 out of 5 stars (2 customer reviews)
 
 
 
 
Share your thoughts with other customers:
Most Helpful Customer Reviews

2 of 4 people found the following review helpful:
5.0 out of 5 stars Excellent Treatment of Difficult Subject, June 15, 2001
By A Customer
This review is from: Global Investment Risk Management (Hardcover)
This volume offers an excellent group of papers that address all aspects of international investment risk management. The contributors are uniformly excellent, knowledgeable and their chaper well written. The coverage of equities, currencies, interest rates is excellent. The papers cover all the world's regions inlcuding emerging and developed markets. Finally, the tools covered, including options and value-at-risk, are written from a practitioners viewpoint. Should be read by anyone interesgted in international investments.
Help other customers find the most helpful reviews 
Was this review helpful to you? Yes No


0 of 5 people found the following review helpful:
1.0 out of 5 stars Drink plenty of water before you read..., December 18, 2001
By A Customer
This review is from: Global Investment Risk Management (Hardcover)
Somehow, Mr. Zask manages to take all the excitment out of the facinating topic of global investment risk management. Keep plenty of water or one of one of your favorite beverages handy... This book has the power to dehydrate. Stack some fruit on top of it overnight for a tasty and non-perishable treat! Homemade fruit leather anyone?
Help other customers find the most helpful reviews 
Was this review helpful to you? Yes No

Share your thoughts with other customers: Create your own review
 
 
 
Only search this product's reviews



Inside This Book (learn more)
First Sentence:
The allure of foreign investment has been with us for centuries, as has the risk of these investments. Read the first page
Key Phrases - Statistically Improbable Phrases (SIPs): (learn more)
marginal contribution analysis, euro currency futures, global investment risk management, portfolio growth rate, percent hedged, risk horizon, relative value strategies, hedged benchmark, nondollar currency, emerging markets risk, emerging markets portfolio, risk budget, primitive securities, strategic exposure, large company stocks, local currency debt, currency ratings, return enhancement, foreign currency debt, public debt burden, overlay programs, full hedge, financial liquidity, trading liquidity, public external debt
Key Phrases - Capitalized Phrases (CAPs): (learn more)
Latin America, New York, Czech Republic, Ibbotson Associates, Hong Kong, Chase Global Data, Morgan Stanley Capital International, Sovereign Ratings Service, All Foreign Hedged, Balancing Financial Risk, Goldman Sachs Commodity Index, New Zealand, Long Term Capital Management, Pension Plan Dearborn, Derivatives Quarterly, Max Return, Min Return
New!
Books on Related Topics | Concordance | Text Stats
Browse Sample Pages:
Front Cover | Front Flap | Table of Contents | First Pages | Index | Back Flap | Back Cover | Surprise Me!
Search Inside This Book:




Suggested Tags from Similar Products

 (What's this?)
Be the first one to add a relevant tag (keyword that's strongly related to this product).
 

Your tags: Add your first tag
 

Sell a Digital Version of This Book in the Kindle Store

If you are a publisher or author and hold the digital rights to a book, you can sell a digital version of it in our Kindle Store. Learn more

Customer Discussions

This product's forum
Discussion Replies Latest Post
No discussions yet

Ask questions, Share opinions, Gain insight
Start a new discussion
Topic:
First post:
Prompts for sign-in
 


Active discussions in related forums
Search Customer Discussions
Search all Amazon discussions
   
Related forums


Listmania!


So You'd Like to...


Create a guide


Look for Similar Items by Category


Look for Similar Items by Subject