Financial Risk Management and Derivative Instruments (Routledge Advanced Texts in Economics and Finance)

by Michael Dempsey

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Financial Risk Management and Derivative Instruments offers an introduction to the riskiness of stock markets and the application of derivative instruments in managing exposure to such risk. Structured in two parts, the first part offers an introduction to stock market and bond market risk as encountered by investors seeking investment growth. The second part of the text introduces the financial derivative instruments that provide for either a reduced exposure (hedging) or an increased exposure (speculation) to market risk. The fundamental aspects of the futures and options derivative markets and the tools of the Black-Scholes model are examined.

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  • ISBN10 0367676648
  • ISBN13 9780367676643
  • Publish Date 18 May 2021 (first published 1 May 2021)
  • Publish Status Active
  • Publish Country GB
  • Publisher Taylor & Francis Ltd
  • Imprint Routledge
  • Format Hardcover
  • Pages 274
  • Language English