The 17th Revised Edition (2020) of Foreign Exchange and Risk Management C. Jeevanandam , published by Sultan Chand & Sons
Q4: How do I spot a fake "new" edition PDF online? A: Check the publication date (must be within the last 2 years). Look for references to "Rate of return" instead of "LIBOR." If it mentions "LIBOR" heavily, it is an old edition and obsolete for risk management.
Transaction Exposure: Risk related to specific contractual obligations.
Expanded Problem Sets: A massive collection of solved questions from CA, MBA, and CMA professional exams to test real-world application. Core Pillars of the Text
The book provides a comprehensive blend of foreign exchange economics and the practical procedures used by banks and international institutions. Key Features