Futures and Options in Risk Management
Released: May 21, 1998
Publisher: Thomson Learning
Format: Paperback, 448 pages
Related ISBN: 9781861520098
Description:
This revised and expanded edition introduces students and managers to the theory and practice of pricing and hedging futures, forwards, options and swaps. The presentation is clear and logical, signposting difficult formulae to allow non-mathematicians to benefit from the book. Expanded coverage is given to the use and risks of derivatives in treasury as well as portfolio management. Topical new material is included on commodity derivatives, exotic options and the risks associated with derivatives trading.
Best prices to buy, sell, or rent ISBN 9781861523792
Frequently Asked Questions about Futures and Options in Risk Management
You can buy the Futures and Options in Risk Management book at one of 20+ online bookstores with BookScouter, the website that helps find the best deal across the web. Currently, the best offer comes from and is $ for the .
If you’re interested in selling back the Futures and Options in Risk Management book, you can always look up BookScouter for the best deal. BookScouter checks 30+ buyback vendors with a single search and gives you actual information on buyback pricing instantly.
As for the Futures and Options in Risk Management book, the best buyback offer comes from and is $ for the book in good condition.
Not enough insights yet.
Not enough insights yet.