Derivatives and risk management / R. P. Rustagi.
Material type:
TextLanguage: English Publication details: New Delhi : Taxmann , 2022.Description: xxiii, 491 pages : illustrations ; 28 cmISBN: - 9789356221482
- 332.64 RUS
| Item type | Current library | Call number | Status | Barcode | |
|---|---|---|---|---|---|
| Books | Institute of Public Enterprise, Library S Campus | 332.64RUS (Browse shelf(Opens below)) | Available | 50788 | |
| Books | Institute of Public Enterprise, Library S Campus | 332.64 RUS (Browse shelf(Opens below)) | Available | 50789 | |
| Books | Institute of Public Enterprise, Library S Campus | 332.64 RUS (Browse shelf(Opens below)) | Available | 50790 |
include bibliography and index.
Part 1: Introduction 1. Understanding Derivatives and Derivatives Market -- Part 2: Forwards and Futures -- 2. Forwards And Futures -- 3. Speculation, Arbitrage and Hedging Through Futures -- Part 3: Options -- 4. Understanding Options -- 5. Using Options Strategies to Manage Risk -- 6. Option Premium (Value) -- 7. Option Valuation Models -- 8. Exotic, Real and Other Options -- Part 4: Miscellaneous Derivatives -- 9. Using Swaps to Manage Risk -- 10. Credit Derivatives -- 11. Interest Rate Derivatives -- 12. Currency Derivatives -- 13. Securitization And Structured Debts -- Part 5: Non-Financial Derivatives -- 14. Commodities Derivatives -- 15. Weather And Other Derivatives -- Part 6: Risk Management Through Derivatives -- 16. Risk Management: Basics -- 17. Foreign Exchange Risk Management.
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