Hedging Instruments and Risk Management: How to Use Derivatives to Control Financial Risk in Any Market (McGraw-Hill Library of Investment and Finance)
Author(s)
Cusatis, Patrick
Thomas, Martin
Cusatis, Patrick
Thomas, Martin
Hedging Instruments & Risk Management Provides A Comprehensive And Results-oriented Approach To Making Informed And Profitable Hedging Decisions. It Focuses On Practical Details Of Key Hedging Instruments As Well As Insights Into The Real-world Application Of These Instruments.--jacket. Ch. 1. Introduction -- Ch. 2. The Time Value Of Money -- Ch. 3. Statistical Review -- Ch. 4. Fixed-income Mathematics -- Ch. 5. Term Structure Of Interest Rates -- Ch. 6. Futures Contracts -- Ch. 7. Swaps -- Ch. 8. Options -- Ch. 9. Commodities -- Ch. 10. Currencies -- Ch. 11. Equities -- Ch. 12. Municipal Bonds -- Ch. 13. Corporate Bonds -- Ch. 14. Mortgages. Patrick Cusatis, Martin Thomas. Includes Bibliographical References And Index.
Name in long format: | Hedging Instruments and Risk Management: How to Use Derivatives to Control Financial Risk in Any Market (McGraw-Hill Library of Investment and Finance) |
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ISBN-10: | 0071443126 |
ISBN-13: | 9780071443128 |
Book pages: | 432 |
Book language: | en |
Edition: | 1 |
Binding: | Hardcover |
Publisher: | McGraw-Hill Education |
Dimensions: | Height: 9.1 Inches, Length: 6.3 Inches, Width: 1.23 Inches |