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Options, Futures, and Other Derivatives

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For example, the binomial chapter included 2 separate approaches but they merged together in the explanation rather than having a distinct separation - horrendous when asked to valuate option values using the 2 ways. The definitive guide to derivatives markets, updated with contemporary examples and discussions Known as “the bible” to business and economics professionals and a consistent best-seller, Options, Futures, and Other Derivatives gives readers a modern look at derivatives markets.

CHAPTER 25--"Swaps Revisited," "gives the reader insight into the range of nonstandard swap products. Neu - As in the sixth edition, end-of-chapter problems are divided into two groups: 'Questions and Problems' and 'Assignment Questions'. This is the second most over-rated book in all of finance*, yet it still should be on the shelf of every single person in the industry. Optimize and personalize learning - Engage students with a blended learning approach merging digital content with complementary homework, tutorials, and assessments.In these books, and others, he explains in readable form concepts related to the Futures market, investing, and business. Pearson Horizon is an easy-to-use digital courseware solution combining interactive digital content, online homework and assessments, and the flexibility to customize your course. The problem is that too many people think that is the end of the road instead of the meager, meager beginning. In 1999, he was awarded the Financial Engineer of the Year Award, by the International Association of Financial Engineers. Packed with numerical samples and accounts of real-life situations, the Fifth Edition effectively guides readers through the material while providing them with a host of tangible examples.

For undergraduate and graduate courses in derivatives, options and futures, financial engineering, financial mathematics, and risk management. Practitioners refer to it as “the bible;” in the university and college marketplace it's the best seller; and now it's been revised and updated to cover the industry's hottest topics and the most up-to-date material on new regulations. Not the prettiest text, black and white with limited diagrams and a lot of maths, but it serves as an excellent reference. Largely aimed at students, Hull's books serve as an excellent introduction to the field or a valuable refresher to those already in the corporate world. Hull is a Professor of Derivatives and Risk Management at the Rotman School of Management at the University of Toronto.I found that it served as good starting point, but there weren't many details on the maths side - the jumps weren't always clear from one formula to another and explanations surrounding models were non-existent sometimes. Come tutti i libri mainstream di finanza soffre di un certo grado di polarizzazione del pensiero (ambiente risk-neutral, comportamento perfettamente razionale ecc.

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