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Derivatives and risk management / Sundaram Janakiramanan

By: Material type: TextTextPublication details: Noida : Pearson , 2023.Edition: 2nd edDescription: xxxvi, 504 p. ; 25 cmISBN:
  • 9789354494703
Subject(s): DDC classification:
  • 332.6 JAN
Contents:
1 Introduction 2 Forward Contracts 3 Futures Contracts 4 Hedging Strategies Using Futures 5 Single Stock Futures and Stock Index Futures 6 Interest Rate Futures 7 Currency Futures 8 Interest Rate and Currency Swaps 9 Fundamentals of Options 10 Call and Put Options 11 Combinations of Options: Trading Strategies 12 Put-Call Parity 13 The Binomial Options Pricing Model 14 The Black-Scholes Options Pricing Model 15 Currency Options, Interest Rate Options and Options on Futures 16 Value-at-risk ONLINE CHAPTERS S1 The Derivatives Market in India S2 Interest Rates S3 Greeks in Options S4 Exotic Options S5 Credit Derivatives S6 Cryptocurrency Derivatives and Contracts for Differences
Summary: Targeted at postgraduate students of commerce, finance and management, Derivatives and Risk Management blends theory, problems, and cases to introduce the basic concepts in lucid, engaging manner. The comprehensive coverage of fundamentals along with liberal use of examples to explain concepts makes it the perfect textbook. It will also be of use to fund managers, risk-management specialists, treasury managers, students taking the CFA examinations and anyone who wants to understand the derivatives market in India.
List(s) this item appears in: New Arrivals - April 1st to 30th 2024
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Item type Current library Call number Status Date due Barcode
Books Institute of Public Enterprise, Library S Campus 332.6 JAN (Browse shelf(Opens below)) Available 47931
Books Institute of Public Enterprise, Library S Campus 332.6 JAN (Browse shelf(Opens below)) Available 47922
Books Institute of Public Enterprise, Library S Campus 332.6 JAN (Browse shelf(Opens below)) Available 47923
Books Institute of Public Enterprise, Library S Campus 332.6 JAN (Browse shelf(Opens below)) Available 47924
Books Institute of Public Enterprise, Library S Campus 332.6 JAN (Browse shelf(Opens below)) Available 47925
Books Institute of Public Enterprise, Library S Campus 332.6 JAN (Browse shelf(Opens below)) Available 47926
Books Institute of Public Enterprise, Library S Campus 332.6 JAN (Browse shelf(Opens below)) Available 47927
Books Institute of Public Enterprise, Library S Campus 332.6 JAN (Browse shelf(Opens below)) Available 47928
Books Institute of Public Enterprise, Library S Campus 332.6 JAN (Browse shelf(Opens below)) Available 47929
Books Institute of Public Enterprise, Library S Campus 332.6 JAN (Browse shelf(Opens below)) Available 47930

1 Introduction 2 Forward Contracts 3 Futures Contracts 4 Hedging Strategies Using Futures 5 Single Stock Futures and Stock Index Futures 6 Interest Rate Futures 7 Currency Futures 8 Interest Rate and Currency Swaps 9 Fundamentals of Options 10 Call and Put Options 11 Combinations of Options: Trading Strategies 12 Put-Call Parity 13 The Binomial Options Pricing Model 14 The Black-Scholes Options Pricing Model 15 Currency Options, Interest Rate Options and Options on Futures 16 Value-at-risk ONLINE CHAPTERS S1 The Derivatives Market in India S2 Interest Rates S3 Greeks in Options S4 Exotic Options S5 Credit Derivatives S6 Cryptocurrency Derivatives and Contracts for Differences

Targeted at postgraduate students of commerce, finance and management, Derivatives and Risk Management blends theory, problems, and cases to introduce the basic concepts in lucid, engaging manner. The comprehensive coverage of fundamentals along with liberal use of examples to explain concepts makes it the perfect textbook. It will also be of use to fund managers, risk-management specialists, treasury managers, students taking the CFA examinations and anyone who wants to understand the derivatives market in India.

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