Financial Derivatives: Pricing and Risk Management
Posted: 11 Mar 2010
Date Written: March 10, 2010
Abstract
Financial Derivatives explores the contemporary world of financial derivatives, starting with a presumption of only a general knowledge of undergraduate finance. These chapters have been written by many leading figures in academics, industry, and government for the benefit of advanced undergraduates, graduate students, practicing finance professionals, and the general public. As such, the chapters in this book provide a comprehensive understanding of financial derivatives. Financial Derivatives is comprised of 37 chapters organized into six parts.
Keywords: Financial Derivatives, Risk Management, Pricing, Options, Futures, Swaps, Over-The-Counter, Credit Default Swaps, Collateralized Debt Obligations, Foreign Exchange, Commodities, Speculation Hedging, Energy Derivatives, Exotic Options, Executive Stock Options, Structured Finance, Clearing
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