Risk management & derivatives / (Record no. 313)
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000 -LEADER | |
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fixed length control field | 01541nam a2200181Ia 4500 |
020 ## - INTERNATIONAL STANDARD BOOK NUMBER | |
ISBN | 8131501884 |
041 ## - LANGUAGE CODE | |
Language code of text/sound track or separate title | English |
082 ## - DEWEY DECIMAL CLASSIFICATION NUMBER | |
Classification number | 332.632 |
Item number | STU |
100 ## - MAIN ENTRY--AUTHOR NAME | |
Author name | Stulz, René M. |
245 #0 - TITLE STATEMENT | |
Title | Risk management & derivatives / |
Statement of responsibility, etc | Rene M. Stulz |
260 ## - PUBLICATION, DISTRIBUTION, ETC. (IMPRINT) | |
Place of publication | New Delhi : |
Name of publisher | Thomson/South-Western, |
Year of publication | 2007. |
300 ## - PHYSICAL DESCRIPTION | |
Number of Pages | xxii, 676 pages : |
Other physical details | illustrations ; |
Dimensions | 26 cm. |
505 ## - FORMATTED CONTENTS NOTE | |
Formatted contents note | Part 1. Why Risk Management? <br/>Ch. 1. Introduction. <br/>Ch. 2. Investors and Risk Management. <br/>Ch. 3. Creating Value with Risk Management. <br/>Ch. 4. A Firm-Wide Approach to Risk Management --<br/>Part 2. Hedging with Forwards, Futures, and Options Contracts. <br/>Ch. 5. Forward and Futures Contracts. <br/>Ch. 6. Hedging Exposures with Forward and Futures Contracts. <br/>Ch. 7. Optimal Hedges for the Real World. <br/>Ch. 8. Identifying and Managing Cash Flow Exposures. <br/>Ch. 9. Measuring and Managing Interest Rate Risks. <br/>Ch. 10. Hedging with Options.<br/>Ch. 11. Option Pricing, Dynamic Hedging, and the Binomial Model. <br/>Ch. 12. The Black-Scholes Model. <br/>Ch. 13. Risk Measurement and Risk Management with Nonlinear Payoffs. <br/>Ch. 14. Options on Bonds and Interest Rates --<br/>Part 3. Beyond Plain Vanilla Risk Management. <br/>Ch. 15. The Demand and Supply for Derivative Products. <br/>Ch. 16. Swaps. Ch. 17. Using Exotic Options. <br/>Ch. 18. Credit Risks and Credit Derivatives. <br/>Ch. 19. Recent Developments in the Practice of Risk Management --<br/>Part 4. Conclusion. |
650 ## - SUBJECT ADDED ENTRY--TOPICAL TERM | |
Subject | Risk management. |
650 ## - SUBJECT ADDED ENTRY--TOPICAL TERM | |
Subject | Derivative securities. |
650 ## - SUBJECT ADDED ENTRY--TOPICAL TERM | |
Subject | Portfolio-theorie. |
942 ## - ADDED ENTRY ELEMENTS (KOHA) | |
Koha item type | Books |
Source of classification or shelving scheme | Dewey Decimal Classification |
Withdrawn status | Lost status | Source of classification or shelving scheme | Damaged status | Not for loan | Home library | Current library | Shelving location | Date acquired | Full call number | Accession Number | Price effective from | Koha item type |
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Dewey Decimal Classification | Institute of Public Enterprise, Library | Institute of Public Enterprise, Library | S Campus | 09/23/2010 | 332.632 STU | 35610 | 06/08/2020 | Books | ||||
Dewey Decimal Classification | Institute of Public Enterprise, Library | Institute of Public Enterprise, Library | S Campus | 05/11/2011 | 332.632 STU | 36480 | 06/08/2020 | Books | ||||
Dewey Decimal Classification | Institute of Public Enterprise, Library | Institute of Public Enterprise, Library | S Campus | 09/24/2010 | 332.632 STU | 35608 | 06/08/2020 | Books | ||||
Dewey Decimal Classification | Institute of Public Enterprise, Library | Institute of Public Enterprise, Library | S Campus | 09/23/2010 | 332.632 STU | 35609 | 06/08/2020 | Books | ||||
Dewey Decimal Classification | Institute of Public Enterprise, Library | Institute of Public Enterprise, Library | S Campus | 09/23/2010 | 332.632 STU | 35611 | 06/08/2020 | Books | ||||
Dewey Decimal Classification | Institute of Public Enterprise, Library | Institute of Public Enterprise, Library | S Campus | 09/23/2010 | 332.632 STU | 35612 | 06/08/2020 | Books | ||||
Dewey Decimal Classification | Institute of Public Enterprise, Library | Institute of Public Enterprise, Library | S Campus | 09/24/2010 | 332.632 STU | 35613 | 06/08/2020 | Books |