Having doubts about F/O's and Future Contracts in Risk Management Module.

All ,

I am having doubts about the Hedging and its applications in the first chapter of the Foundation of Risk Management.

(GARP reading IFC Paper- risk governance) . Do i need to read a more about it or should wait for the Financial Market Module. Please advice.

When you finish the reading of Financial Markets & Products, you can relate the same in Book1. When you do the revision, you would end up realising that your doubts are so self cleared. What reading materials do you follow?

Thanks,

Raghu