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Financial Derivatives and Risk Management

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Derivative market has gone to the stock exchanges to have substantial turnover as compared to cash market. At present, future and option markets share has gone upto 73 per cent in June 2012.

Risks are inherent in any business and derivative market endeavours to reduce the risk to a considerable extent. Risk is defined as the probability of the unexpected happening − the probability of suffering a loss. The process of addressing all material kinds of risk in a structured manner by upgrading skills and adopting comprehensive practices is termed as RISK ELIMINATION but enables users to bring their risk levels to manageable proportions without severely reducing their income/profit.

In this second edition, incorporate changes in the market and explanatory details for risk management so that the readers should find this edition contemporary and thought provoking and would not be required to attempt to search for descriptions.

Book Content of Financial Derivatives and Risk Management
1. Introduction to Derivatives
2. Futures and Forwards
3. Mechanics and Properties of Options
4. Risk Management
5. Understanding Option Greeks
6. Options Volatility
7. Other Derivative Securities
8. Use of Futures for Hedging and Pricing of Future
9. Swaps Options
10. Derivatives Market in India
Bibliography
ISBN

Year of publication

2023

Edition

Third

Pages

264

Weight

350 (In Grams)

Book Code

Library Dollar Price

40

Type

Author

O.P. Agarwal

Publisher

Himalaya pub