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ISBN
:
9788131505168
Publisher
:
South Western
Subject
:
Finance & Accounting
Binding
:
Paperback
Pages
:
472
Year
:
2008
₹
375.0
₹
333.0
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You'll find detailed but flexible coverage of options, futures, forwards, swaps, and risk management as well as a solid introduction to pricing, trading, and strategy in Derivatives and Risk Management Basics. A collection of figures illustrate links between puts, calls, stocks, risk-free bonds, futures, options, forwards, Black-Scholes call/put pricing, etc. Key Feature New end of chapter problems and new test bank problems Updated and replaced some of the boxed items called Derivatives Tools Robert Brooks, a practitioner and academic has been added to this edition Flexible mathematical approach puts more complex material in end-of-chapter appendices Real-world examples from actual market conditions show practicality of chapter theories. A collection of figures in the text that build on each other, illustrating links between puts, calls, stocks, risk-free bonds, futures, options, forwards, Black-Scholes call/put pricing, etc. Sections on mortgage-backed securities, structured notes, derivatives accounting, and best practices benchmarks for risk management. This text has an overall outstanding blend of institutional material, theory, and practical applications Table of Contents Part I: Options 1. Options 2. Structure of Options Markets 3. Principles of Option Pricing 4. Option Pricing Models: The Binomial Model 5. Option Pricing Models: The Black-Scholes-Merton Model 6. Basic Option Strategies 7. Advanced Option Strategies Part II: Forwards, Futures, and Swaps 8. The Structure of Forward and Futures Markets 9. Principles of Pricing Forwards, Futures, and Options on Futures 10. Futures Arbitrage Strategies 11. Forward and Futures hedging, Spread, and Target Strategies 12. Swaps Part III: Advanced topics. 13. Interest rate forwards and options 14. Advanced Derivatives and Strategies 15. Financial Risk Management Techniques and Applications. 16. Managing Risk in an Organization
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