Corporate Financial Risk Management--------jaico
What if you could understand financial risk
management without immersing yourself in high-level mathematics? In this
straightforward, readable guide – which requires only a working
familiarity with financial spreadsheets – Nersesian explains what
financial risk management is, describes its various forms, and shows how
to anticipate and cope with it. Nersesian’s approach is truly new. He
combines cost/benefit analysis with probability distributions, so you
can easily grasp the concepts and mechanics of financial risk reduction,
and his examples are expressed in familiar business terminology.
His illustrations, built on the widespread and popular Excel
spreadsheet, are equally familiar or easily grasped by computer-friendly
novices. As a result, Nersesian shows that risk management can be
appreciated and dealt with by people with no access to risk management
specialists, or specialists whose jargon and analytic methods are seldom
understood by anyone but themselves.