Professor C. Jeevanandam brings over 40 years of combined experience in banking and academia to this text. Published by Sultan Chand & Sons , the book is tailored for MBA, M.Com, and professional students (CA, CS, CMA). It doesn't just cover the "what" of foreign exchange but focuses heavily on the "how" through practical problem-solving. Key Pillars of the Book
The book is structured into five core sections designed to provide both conceptual clarity and practical application: Professor C
This is the most long-term risk. It refers to how much a company’s market value is influenced by unexpected exchange rate fluctuations, impacting its future cash flows and competitive position. How to Access the Book Legally It doesn't just cover the "what" of foreign
Detailed guidance on Letters of Credit, international trade documents, and bank financing for exports. Access and Availability How to Access the Book Legally Detailed guidance
: It is frequently cited as a reference text in university syllabi for International Finance and Forex management courses.
The book "Foreign Exchange and Risk Management" by C. Jeevanandam covers several key concepts in foreign exchange and risk management, including: