DERIVATIVES, RISK MANAGEMENT AND VALUE: From Theory to the Practice of Derivatives

DERIVATIVES, RISK MANAGEMENT AND VALUE: From Theory to the Practice of Derivatives

by B E L L A L A H M O N D H E R (Author)

Synopsis

This book covers fundamental concepts in financial markets and asset pricing such as hedging, arbitrage, speculation in different markets, classical models for pricing of simple and complex derivatives, mathematical foundations, managing and monitoring portfolios of derivatives in real time, etc. It explains different applications of these concepts using real world examples. The book also covers topics like financial markets and instruments, option pricing models, option pricing theory, exotic derivatives, second generation options, etc. Written in a simple manner and amply supported by real world examples, questions and exercises, the book will be of interest to students, academics and practitioners alike.

$208.24

Quantity

20+ in stock

More Information

Format: Hardcover
Pages: 996
Publisher: World Scientific Publishing
Published: 29 Dec 2009

ISBN 10: 9812838627
ISBN 13: 9789812838629