Description
- ISBN-10: 9780198089155
- ISBN-13: 978-0198089155
- Edition: 2nd
- Publisher: Oxford University Press
- Publication date: 16 April 2014
- Language: English
- Dimensions: 23.62 x 3.3 x 18.54 cm
- Print length: 680 pages
Original price was: ₹1,100.00.₹1,045.00Current price is: ₹1,045.00.
Master the complexities of DERIVATIVES AND RISK MANAGEMENT with this comprehensive 2nd edition from Oxford University Press. Perfect for postgraduate students and finance professionals, this essential guide offers in-depth coverage of fundamental concepts. Explore forwards, futures, options pricing models (including Black-Scholes), and key metrics like Option Greeks. Delve into advanced topics such as exotic options, interest rate and currency swaps, volatility, Value at Risk, and hedging strategies. The book also tackles crucial areas like credit risk, securitization, credit derivatives, real options, and accounting for derivatives, providing a thorough understanding of financial instruments and their management. Enhance your expertise with this invaluable resource from The Bookish Owl.
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