Brazilian Derivatives and Securities: Pricing and Risk Management of FX and Interest-Rate Portfolios for Local and Global Markets
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Brazilian Derivatives and Securities: Pricing and Risk Management of FX and Interest-Rate Portfolios for Local and Global Markets

by Marcos C. S. Carreira, Richard J. Brostowicz Jr.

Business Finance
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Brazilian Derivatives and Securities explores pricing and risk management techniques for FX and interest-rate portfolios tailored to local and global markets. Authored by Marcos C. S. Carreira and Richard J. Brostowicz Jr., it provides essential guidance for finance professionals handling complex financial instruments in Brazil's dynamic economy.

About This Book

This work by Marcos C. S. Carreira and Richard J. Brostowicz Jr. focuses on Brazilian derivatives and securities, providing insights into pricing and risk management strategies for FX and interest-rate portfolios.

It addresses the unique challenges of local markets while considering global influences, offering practical approaches for professionals in finance.

The book serves as a resource for understanding the complexities involved in managing these financial instruments across different market environments.

Through its detailed examination, it supports informed decision-making in portfolio management for both domestic and international contexts.

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I will be using this book for: