Derivatives and risk management

Derivatives and risk management

Srivastav, Rajiv

27,40 €(IVA inc.)

Derivatives and Risk Management is a comprehensive textbook intended to meet the requirements of management students specializing in Finance. INDICE: 1: DERIVATIVES - AN INTRODUCTION; 2: FORWARDS AND FUTURES - BASICS; 3: COMMODITIES FUTURES; 4: STOCK AND INDEX FUTURES; 5: CURRENCY FORWARDS AND FUTURES; 6: FORWARDS AND FUTURES ON INTEREST RATES; 7: INTEREST RATE AND FINANCIAL SWAPS; 8: OPTIONS - BASICS; 9: OPTION PRICING - I; 10: OPTION PRICING- II; 11: OPTION APPLICATIONS - HEDGING AND TRADING; 12: OPTION SENSITIVITIES; 13: EXOTIC OPTIONS; 14: CREDIT DERIVATIVES; 15: OTHER DERIVATIVES; 16: ACCOUNTING FOR DERIVATIVES

  • ISBN: 978-0-19-806434-3
  • Editorial: Oxford University
  • Encuadernacion: Rústica
  • Páginas: 640
  • Fecha Publicación: 25/03/2010
  • Nº Volúmenes: 1
  • Idioma: Inglés