One book gives you a solid understanding of how derivatives are used to manage the risks of financial decisions. Extremely reader friendly, market-leading INTRODUCTION TO DERIVATIVES AND RISK MANAGEMENT, 10e is packed with real-world examples while keeping technical mathematics to a minimum. With a blend of institutional material, theory, and practical applications, the book delivers detailed coverage of options, futures, forwards, swaps, and risk management as well as a balanced introduction to pricing, trading, and strategy. The financial information throughout reflects the most recent changes in the derivatives market–one of the most volatile sectors in the financial world.
Introduction to Derivatives and Risk Management
$4,744.95
ISBN
9781305104969
Categorías FINANCE, FINANCE & ACCOUNTING, FINANCE & ACCOUNTING, INVESTMENT & SECURITIES
Peso | 46.39 kg |
---|---|
ISBN | |
ISBN13 | |
Author | |
Publisher | |
Binding | |
Lenguage | |
Publish Year | |
Edition | |
Pages |
Productos relacionados
-
McGraw-Hill’s 500 Series 7 Exam Questions to Know by Test Day (McGraw-Hill’s 500 Questions)
$525.00 Añadir al carritoValorado con 0 de 5 -
MP Auditing and Assurance Services w/ OLC Premium Content Card
$3,228.75 Añadir al carritoValorado con 0 de 5