Risk Management and Financial Derivatives: a Guide to the Mathematics
- Binding: Hardcover
- Publisher: McGraw-Hill Companies
- Publish date: 02/01/2000
Description:
With financial management becoming more complex and technical, this long-needed book goes beyond formulas to explain the mathmatical concepts for everyday users. Leading experts clarify the numbers behind risk management, including yield curve modeling, pricing bonds, forwards, and options; and value-at-risk.
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Product notice
Returnable at the third party seller's discretion and may come without consumable supplements like access codes, CD's, or workbooks.
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