Friday, May 25, 2018

CME Group Risk Management Manual: Products and Applications


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Praise "CME Group Risk Management Handbook"

"Wow" CME Group Risk Management Handbook "is ' ten strikes ' long-awaited. Must read and reference for risk management industry"
- CME Group Retiring Chairman, Executive Committee Member Jack Sandner

"This is a powerful book that integrates the futures and options markets into an understanding of the entire economy. It's an eye-opener." How important is the market for our economic life. "
- Robert J. Hiller, Professor of Economics, Yakun University, Robert; J. Hiller, Chief Economist, MacroMarkets LLC

"Risk Management is Critical to Successful Investment," CME Group Risk Management Handbook "Provided to Understand Risk Management Necessary conditions. In the aftermath of the financial turmoil of the past few years, managing risk should become part of any investment plan. Key elements of risk management include stock indices, bonds, currencies, and commodity futures, as well as more and more futures, options, swaps, and other financial instruments. These tools are based on tracking house prices, and the weather "CME Group Risk Management Manual" provides comprehensive guidance for using all of these measures to better manage financial risks. "
- Dr. David M. Blitzer, Managing Director and Chairman of the Index Committee, Standard & Poor's Index

"We ignore the suggestion of the world's largest financial institution that it does not rely on a single TARP dollar or contact the Fed's cheap loan? For CME Group, risk management means minimizing risk because it entered its 151st year of life and 85 years of central counterparty liquidation without a transaction debt. "
- Former CFTC Chairman Philip McBride Johnson

" This is the first time to provide a comprehensive manual outlining the world's futures markets. The "CME Group Risk Management Manual" covers the basic knowledge of futures for novice traders, and veterans will benefit from an in-depth study of options and hedging. This handbook is a necessity for any professional, investor or other market participant trying to manage risk in a constantly changing futures market. "
- H. Jack Bouroudjian, Chief Executive Officer, Index Futures Group,



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