Fuel Hedging and Risk Management: Strategies for Airlines, Shippers and Other Consumers (The Wiley Finance Series)

Read [Simo M. Dafir, Vishnu N. Gajjala Book] ! Fuel Hedging and Risk Management: Strategies for Airlines, Shippers and Other Consumers (The Wiley Finance Series) Online ^ PDF eBook or Kindle ePUB free. Fuel Hedging and Risk Management: Strategies for Airlines, Shippers and Other Consumers (The Wiley Finance Series) Dafir provides intuition stemming from not just top-tier commodity structuring expertise, but also broader insight from his earlier experience as a credit derivatives and exotics trader.—Mitch Matharu, former Head of Structuring, Merrill LynchAn Absolute Must Read. From the fundamentals of oil markets to the key points in negotiating a credit agreement and minimizing hedging costs, passing by the subtleties of implied volatility surface construction and its implications in derivat

Fuel Hedging and Risk Management: Strategies for Airlines, Shippers and Other Consumers (The Wiley Finance Series)

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Rating : 4.65 (782 Votes)
Asin : 1119026725
Format Type : paperback
Number of Pages : 312 Pages
Publish Date : 2017-12-20
Language : English

DESCRIPTION:

Supported by tools including frameworks, scenario analysis, derivative term sheets and visual aids like payoff profiles and market curves, commodity hedgers will be able to immediately apply the discussion on hedging instruments to the selection of hedge strategies, while understanding their main risks. Written by highly experienced practitioners, Fuel Hedging and Risk Management presents practical hedging solutions to harness fuel price volatility, while developing a holistic understanding of the risk management process from conception to execution. This practical guide will help you: Gain expert insight into all aspects of fuel hedging, price and volatility drivers and dynamics.Develop a framework for financial risk analysis and the institution of hedge programs.Navigate volatile energy markets by employing effective risk management techniques.Man

DAFIR is a Managing Director at Volguard, a financial consulting firm specializing in Capital Markets, Wealth Management and Derivatives. GAJJALA is a commodity derivatives expert at Volguard, where he oversees the financial market analytics business. He was the Regional Head of Commodity Structuring at Standard Chartered Ba

This is a good book for beginners looking to learn about the energy This is a good book for beginners looking to learn about the energy markets. The description of oil markets and geopolitics is quite detailed. It is also especially useful for risk managers and strategy professionals who are looking to design hedging strategies appropriate for their organizations. One of the few resources on comm

Dafir provides intuition stemming from not just top-tier commodity structuring expertise, but also broader insight from his earlier experience as a credit derivatives and exotics trader."—Mitch Matharu, former Head of Structuring, Merrill Lynch"An Absolute Must Read. From the fundamentals of oil markets to the key points in negotiating a credit agreement and minimizing hedging costs, passing by the subtleties of implied volatility surface construction and its implications in derivatives pricing, this book offers you the indispensable practitioner's toolbox, useful whether you are a novice or a seasoned fuel trader."—Frederic Cogny, Global Head of Commodities Structured Products Trading, Standard Chartered Bank"In this book, Dafir blends his deep knowledge of the commodity markets and the vagaries of the financial market with his incredible mathematical ability to explore fue

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