Book Description
Today more than ever, foreign exchange market participants must be acutely aware of all products and aspects involving this complex market. To remain uninformed is to risk being blind sided by the unexpected currency movement. FX: Managing Global Currency Risk outlines both the basic and advanced strategies for risk management and profit maximization in today's global foreign exchange markets. Over twenty expert practitioners contribute their unique perspectives on the business of trading and managing risks in foreign exchange.
From the Publisher
Gary Klopfenstein is founder and President of GK Capital Management and GK Investment Management. He is also President of GK Risk Management and GK Software Development and a Director of GK Risk Management SDN BHD. Mr. Klopfenstein received a B.A. from Illinois Weslleyan University and is the author of Trading Currency Cross Rates(John Wiley & Sons).