We have great pleasure in presenting First edition “Risk Management and Derivatives” written for students of UG courses. The related matters are written in a simple and easily understandable.
This volume is an attempt to provide the students with thorough understanding of Risk Management and Derivatives. We have presented the subject matter in a systematic manner with liberal use of charts and diagrams where ever necessary so as to make it interesting and sustain students’ interest.
Contents –
1. Risk Meaning, Types. Risk Analysis in Capital Budgeting
2. Investment Risks and Derivatives
3. Future Contracts, Hedging and Trading
4. Options, Basics and Strategies
5. Option Pricing