Research Catalog

Risk management, derivatives, and financial analysis under SFAS no. 133

Title
Risk management, derivatives, and financial analysis under SFAS no. 133 / Gary L. Gastineau, Donald J. Smith, Rebecca Todd.
Author
Gastineau, Gary L.
Publication
Charlottesville, VA : The Research Foundation of AIMR : Blackwell Publishers, [2001], ©2001.

Items in the Library & Off-site

Filter by

1 Item

StatusFormatAccessCall NumberItem Location
TextRequest in advance HG6024.A3 G37 2001gOff-site

Holdings

Details

Additional Authors
  • Smith, Donald J.
  • Todd, Rebecca.
Description
x, 110 pages; 23 cm.
Series Statement
Blackwell series in finance
Uniform Title
Research Foundation of AIMR and Blackwell series in finance.
Subjects
Note
  • "Research Foundation publications."
Bibliography (note)
  • Includes bibliographical references (p. 107-109).
Contents
Ch. 1. Introduction -- Ch. 2. Corporate Risk Management: Practice and Theory -- Ch. 3. Corporate Risk Management: The Financial Analyst's Challenge -- Ch. 4. The Intricacies of SFAS No. 133 -- Ch. 5. Accounting and Financial Statement Analysis for Derivative and Hedging Instruments under SFAS No. 133 -- Ch. 6. Conclusion: SFAS No. 133 and Its Significance for Financial Analysis.
ISBN
0943205514
OCLC
  • ocm47921338
  • SCSB-4183597
Owning Institutions
Columbia University Libraries