Pub. Date:
Taylor & Francis
Accounting for Risk, Hedging and Complex Contracts / Edition 1

Accounting for Risk, Hedging and Complex Contracts / Edition 1

by A. Rashad Abdel-Khalik


View All Available Formats & Editions
Current price is , Original price is $200.0. You
Select a Purchase Option (New Edition)
  • purchase options


Accounting for Risk, Hedging and Complex Contracts / Edition 1

With the exponential growth in financial derivatives, accounting standards setters have had to keep pace and devise new ways of accounting for transactions involving these instruments, especially hedging activities. Accounting for Risk, Hedging and Complex Contracts addresses the essential elements of these developments, exploring accounting as related to today's most relevant topics - risk, hedging, insurance, reinsurance, and more.

The book begins by providing a basic foundation by discussing the concepts of risk, risk types and measurement, and risk management. It then introduces readers to the nature and valuation of free standing options, swaps, forward and futures as well as of embedded derivatives. Discussion and illustrations of the cash flow hedge and fair value hedge accounting treatments are offered in both single currency and multiple currency environments, including hedging net investment in foreign operations. The final chapter is devoted to the disclosure of financial instruments and hedging activities. The combination of these topics makes the book a must-have resource and reference in the field.

With discussions of the basic tools and instruments, examinations of the related accounting, and case studies to help students apply their knowledge, this book is an essential, self-contained source for upper-level undergraduate and masters accounting students looking develop an understanding of accounting for today’s financial realities.

Product Details

ISBN-13: 9780415808934
Publisher: Taylor & Francis
Publication date: 10/02/2013
Edition description: New Edition
Pages: 592
Product dimensions: 8.60(w) x 11.20(h) x 1.20(d)

About the Author

A. Rashad Abdel-khalik is a Professor of Accountancy and Director at the V.K. Zimmerman Center for International Education and Research of Accounting at the University of Illinois Urbana-Champaign, USA.

Table of Contents

@Contents: Preface Part 1: Foundation 1. Risk Definitions and Risk Appetite 2. Types of Risk 3. Measurement of Risk 4. Basics of Risk Management Part 2: Instruments 5. An Overview of Derivative Instruments Part 3: Accounting 6. Hedge Accounting Qualifications 7. Hedge Accounting I (Single Currency) 8. Hedge Accounting II (Single Currency) 9. Accounting for Embedded Derivatives 10. Currency and Hedging Transaction Risk 11. Hedging Currency Operating and Translation Risk 12. Disclosure

Customer Reviews

Most Helpful Customer Reviews

See All Customer Reviews