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3038 Hennepin Ave Minneapolis, MN
612-822-4611
Derivat, Risk Mgmt & Value(2nd Ed)

Derivat, Risk Mgmt & Value(2nd Ed)

Hardcover

Investing & Finance

ISBN10: 1800618719
ISBN13: 9781800618718
Publisher: Wspc (Europe)
Published: May 31 2026
Pages: 764
Weight: 3.40
Height: 2.19 Width: 6.00 Depth: 9.00
Language: English

This book covers the fundamental concepts of financial markets and asset pricing, including hedging, arbitrage, speculation across different markets, classical models for the pricing of simple and complex derivatives, mathematical foundations, and the real-time management and monitoring of derivative portfolios. It also explores topics such as financial markets and instruments, and option pricing models and theory. Written in a clear and accessible style, and amply supported by real-world examples, the book will be of interest to students, academics, and practitioners alike.

Also from

Bellalah Mondher

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Investing & Finance