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Introduction to Derivatives and Risk Management,9780030311574
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Introduction to Derivatives and Risk Management

by
Edition:
5th
ISBN13:

9780030311574

ISBN10:
0030311578
Format:
Paperback
Pub. Date:
10/12/2000
Publisher(s):
South-Western College Pub
List Price: $214.66

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Questions About This Book?

What version or edition is this?
This is the 5th edition with a publication date of 10/12/2000.
What is included with this book?
  • The New copy of this book will include any supplemental materials advertised. Please check the title of the book to determine if it should include any CDs, lab manuals, study guides, etc.

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Summary

A market leader, this book is ideally designed for either a one- or two-semester course in options and/or futures, derivatives, and/or risk management at the advanced undergraduate or MBA level. Detailed but flexible coverage of options, futures, forwards, swaps, and risk management as well as a solid introduction to pricing, trading, and strategy - allows instructors to selectively tailor inclusion of topics/chapters to fit the length of the course.

Table of Contents

Introduction
Options
The Structure of Options Markets
Principles of Option Pricing
Option Pricing Models: The Binomial Model
Option Pricing Models: The Black-Scholes Model
Basic Option Strategies
Advanced Option Strategies
Forwards, Futures and Swaps
The Structure of Forward and Futures Markets
Principles of Pricing Forwards, Futures, and Options on Futures
Forward and Futures Hedging Strategies
Advanced Futures Strategies
Swaps
Advanced Topics
Interest Rate Forwards and Options
Advanced Derivatives and Strategies
Financial Risk Management Techniques and Applications
Managing Risk in an Organization
Table of Contents provided by Publisher. All Rights Reserved.


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