We have great pleasure in presenting the first edition “Risk Management and Derivatives” written for students of UG and PG courses. The subject matter is written in a simple and easily understandable language with sufficient support from real information.
The language of the book is simple and the coverage of various unit is exhaustive with examples. This work is prepared as a basic material for the learners to know fully about Risk Management and Derivatives. We have tried to make the book very useful for the students. This title “Risk Management and Derivatives” provides them an opportunity to develop the skills necessary to meet the challenges.
Contents –
1: Introduction to Risks
2: Credit Risk Management
3: Market Risk and Operations Risk
4: Basics of Derivatives
5: Futures, Options and Swaps