Title
Risk Management In Commodity Markets: From Shipping To Agriculturals And Energy
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Commodities Represent Today The Fastest Growing Markets Worldwide. Historically Misunderstood, Generally Under Studied And Under Valued, Certainly Under Represented In The Literature, Commodities Are Suddenly Receiving The Attention They Deserve.Bringing Together Some Of The Best Authors In The Field, This Book Focuses On The Risk Management Issues Associated With Both Soft And Hard Commodities: Energy, Weather, Agriculturals, Metals And Shipping. Taking The Reader Through Every Part Of The Commodities Markets, The Authors Discuss The Intricacies Of Modelling Spot And Forward Prices, As Well As The Design Of New Futures Markets. The Book Also Looks At The Use Of Options And Other Derivative Contract Forms For Hedging Purposes, As Well As Supply Management In Commodity Markets. It Looks At The Implications For Climate Policy And Climate Research And Analyzes The Various Freight Derivatives Markets And Products Used To Manage Shipping And Freight Risk In A Global Commodity World.It Is Required Reading For Energy And Mining Companies, Utilities Practitioners, Commodity And Cash Derivatives Traders In Investment Banks, Ctas And Hedge Funds
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- Q: How many pages are in the book? A: This book contains three hundred twenty pages. It provides a comprehensive overview of risk management in commodity markets.
- Q: What is the binding type of this book? A: The book is bound in hardcover. This ensures durability and a premium feel for readers.
- Q: What are the dimensions of the book? A: The dimensions of the book are six point nine seven inches in length, zero point nine eight inches in width, and nine point eight inches in height.
- Q: Who is the author of the book? A: The author of this book is Helyette Geman. She is recognized for her expertise in commodity markets and risk management.
- Q: What topics does the book cover? A: The book covers various topics in commodity markets, including risk management for energy, weather, agriculture, metals, and shipping.
- Q: Is this book suitable for beginners in finance? A: Yes, this book is suitable for beginners. It provides foundational knowledge in risk management for commodities.
- Q: Can I use this book for academic purposes? A: Yes, this book is suitable for academic study. It serves as a valuable resource for students and professionals in economics and finance.
- Q: Does the book include real-world examples? A: Yes, the book includes real-world examples. These examples help illustrate complex concepts in commodity risk management.
- Q: Is this book recommended for professionals in investment banks? A: Yes, this book is highly recommended for professionals in investment banks. It addresses relevant issues faced by commodity traders.
- Q: How should I store this book? A: Store the book in a cool, dry place. This will help maintain its condition and prevent damage over time.
- Q: Can I return the book if I am not satisfied? A: Yes, you can return the book if you are not satisfied. The seller offers a no quibbles return policy.
- Q: What if the book arrives damaged? A: If the book arrives damaged, you can request a replacement or a refund. Customer service will assist with the process.
- Q: How should I clean the book? A: To clean the book, gently wipe the cover with a soft, dry cloth. Avoid using water or cleaning solutions.
- Q: Is there a warranty for this book? A: No, there is no warranty for the book. However, the return policy covers unsatisfactory conditions.
- Q: Are there any specific care instructions for the book? A: Yes, keep the book away from direct sunlight and moisture to preserve its quality.
- Q: What makes this book different from other finance books? A: This book focuses specifically on risk management in commodity markets, which is often underrepresented in financial literature.