Derivatives and risk management book
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Alternative models for calculating Value at Risk (market risk) and credit risk provide the throretical basis for a practical and timely overview of these areas of regulatory policy.What other items do customers buy after viewing this item?Chapter 22: Interest Rate Swaps, chapter 23: Single Period Binomial HJM Model.Prime members get unlimited deliveries at no additional cost.
Overview, an Introduction to Derivatives and Risk Management by Don.
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The authors adopt a realworld emphasis throughout, and include features such as: topic boxes, worked examples and learning objectives Financial Times and Wall Street Journal newspaper extracts and analysis of real world cases supporting web site including Lecturers Resource Pack and Student Centre with interactive.
Find your preferred location and add it to your address book.This shopping feature will continue to load items.Details, note: This item is eligible for click and collect.Chapter 12: The Extended Cost of Carry Model.Chapter 2: Interest Rates, chapter 3: Stocks, chapter 4: Forwards and Futures.
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