Ebook Download Derivatives: Markets, Valuation, and Risk Management, by Robert E. Whaley
There is no question that publication Derivatives: Markets, Valuation, And Risk Management, By Robert E. Whaley will certainly always give you inspirations. Also this is merely a publication Derivatives: Markets, Valuation, And Risk Management, By Robert E. Whaley; you can locate numerous categories as well as types of publications. From captivating to experience to politic, and also scientific researches are all provided. As exactly what we explain, here we offer those all, from popular authors and also author on the planet. This Derivatives: Markets, Valuation, And Risk Management, By Robert E. Whaley is one of the compilations. Are you interested? Take it now. Exactly how is the way? Read more this short article!
Derivatives: Markets, Valuation, and Risk Management, by Robert E. Whaley
Ebook Download Derivatives: Markets, Valuation, and Risk Management, by Robert E. Whaley
Derivatives: Markets, Valuation, And Risk Management, By Robert E. Whaley. Someday, you will certainly discover a brand-new journey and also knowledge by spending even more cash. However when? Do you assume that you require to get those all demands when having significantly money? Why do not you attempt to get something easy in the beginning? That's something that will lead you to know more regarding the globe, journey, some areas, past history, entertainment, as well as a lot more? It is your very own time to proceed reading habit. Among guides you could enjoy now is Derivatives: Markets, Valuation, And Risk Management, By Robert E. Whaley below.
Why should be publication Derivatives: Markets, Valuation, And Risk Management, By Robert E. Whaley Book is one of the simple resources to look for. By obtaining the writer and style to get, you can find a lot of titles that provide their information to obtain. As this Derivatives: Markets, Valuation, And Risk Management, By Robert E. Whaley, the impressive publication Derivatives: Markets, Valuation, And Risk Management, By Robert E. Whaley will certainly offer you just what you have to cover the task deadline. And also why should be in this site? We will certainly ask initially, have you much more times to go for going shopping the books and hunt for the referred book Derivatives: Markets, Valuation, And Risk Management, By Robert E. Whaley in publication shop? Many people may not have adequate time to locate it.
For this reason, this website presents for you to cover your trouble. We reveal you some referred books Derivatives: Markets, Valuation, And Risk Management, By Robert E. Whaley in all types as well as styles. From common writer to the popular one, they are all covered to provide in this website. This Derivatives: Markets, Valuation, And Risk Management, By Robert E. Whaley is you're hunted for book; you just have to visit the link web page to receive this web site and then go with downloading and install. It will not take often times to obtain one book Derivatives: Markets, Valuation, And Risk Management, By Robert E. Whaley It will certainly depend on your web link. Just purchase as well as download and install the soft file of this book Derivatives: Markets, Valuation, And Risk Management, By Robert E. Whaley
It is so simple, isn't it? Why do not you try it? In this website, you can likewise discover other titles of the Derivatives: Markets, Valuation, And Risk Management, By Robert E. Whaley book collections that could be able to aid you finding the very best option of your work. Reading this book Derivatives: Markets, Valuation, And Risk Management, By Robert E. Whaley in soft documents will certainly also reduce you to obtain the source effortlessly. You could not bring for those books to someplace you go. Only with the gizmo that always be with your all over, you could read this publication Derivatives: Markets, Valuation, And Risk Management, By Robert E. Whaley So, it will be so promptly to complete reading this Derivatives: Markets, Valuation, And Risk Management, By Robert E. Whaley
Robert Whaley has more than twenty-five years of experience in the world of finance, and with this book he shares his hard-won knowledge in the field of derivatives with you. Divided into ten information-packed parts, Derivatives shows you how this financial tool can be used in practice to create risk management, valuation, and investment solutions that are appropriate for a variety of market situations.
- Sales Rank: #566589 in Books
- Published on: 2006-10-02
- Ingredients: Example Ingredients
- Original language: English
- Number of items: 1
- Dimensions: 10.35" h x 1.90" w x 7.20" l, 3.92 pounds
- Binding: Hardcover
- 960 pages
From the Inside Flap
Derivatives markets continue to grow at a rapid rate, with thousands of new products or product variations being introduced every year. In order to make sense of this dynamic environment you need a firm understanding of derivative contract valuation and risk management as well as the structure of the markets within which they trade.
Author Robert Whaley has more than twenty-five years of experience in the world of finance, and with this book he shares his hard-won knowledge in the field of derivatives with you. Divided into ten information-packed parts, Derivatives will show you how this financial tool can be used in practice to create risk management, valuation, and investment solutions that are appropriate for a variety of market situations.
- Part One provides a broad overview of derivative contracts and the markets within which they trade
- Part Two reviews the basic principles of security valuation and helps prepare you for the upcoming discussion of derivative contract valuation and risk measurement
- Part Three focuses on the valuation of forward contracts and the risk management strategies associated with them
- Part Four focuses on the valuation of option contracts and the risk management strategies associated with them
With a general valuation/risk measurement framework in hand, you'll then be introduced to derivative contracts in specific asset categories. The remaining parts (5–9) of this comprehensive guide are arranged by the nature of the asset underlying the derivatives contract—stocks are discussed first, then stock indexes, currencies, interest rates or bonds, and finally, commodities. In each part, Whaley provides a flavor of the history of each derivatives market. He also examines any contract idiosyncrasies that may affect valuation principles and explores specific risk management strategies/practices as they apply to the markets for particular asset categories.
Derivatives can be used to manage the different types of risks faced by individuals, corporations, and governments. But to effectively implement them takes discipline. Filled with in-depth insights, practical advice, and a companion website that features OPTVAL Excel add-ins and spreadsheets, Derivatives offers valuable guidance on applying this key financial tool to a variety of real-world situations.
From the Back Cover
Praise for Derivatives
"This book is the culmination of twenty years of experience teaching and consulting in the area of futures and options. You will find in it the combination of recent theoretical developments and Bob's intimate practical knowledge of derivative markets."
—Bernard Dumas, Rothschild Professor of Banking, Professor of Finance, INSEAD
"This is the definitive work on derivatives. It is a comprehensive treatment of the theory, practice, and institutional detail of derivatives; excellent both as a learning tool and as a reference work. Rare for such a work, it is also fun to read."
—T. Eric Kilcollin, Managing Member, Sanborn Kilcollin Partners, LLC former president and CEO, Chicago Mercantile Exchange
"A definitive book by one of the great teachers of derivatives and risk management. It is thoughtful and comprehensive, yet accessible to both students and practitioners of finance. Derivatives fills a glaring lacuna and should be required reading for those serious about derivatives and risk management."
—Campbell R. Harvey, J. Paul Sticht Professor of International Business Fuqua School of Business, Duke University
"An all-encompassing presentation of the world of derivatives, Bob's book promises to illuminate the subject for the theoretician and practitioner alike. Few other books on the subject are as comprehensive—and as comprehensible. It clearly demonstrates why he is widely recognized as the definitive expert on derivative instruments."
—Joe Levin, Vice President, Research and Product Development Chicago Board Options Exchange
"Bob Whaley's new derivatives book is accessible and innovative. Students, professors, and practitioners will benefit from Bob's concise, well-organized, and logical presentation. The book's many illustrative numeric examples support and extend the reader's understanding of complex issues."
—Dwight Grant, Professor of Global Finance, Thunderbird The Garvin School of International Management
About the Author
Robert E. Whaley is the Valere Blair Potter Professor of Management at the Owen Graduate School of Management, Vanderbilt University. His current research interests are in the areas of market microstructure, valuation of exotic options, stock splits, and executive stock option valuation. Professor Whaley's research has been published in top academic and practitioner journals, and he is a frequent presenter at major conferences and seminars. He holds a number of editorial positions, including Associate Editor of the Journal of Futures Markets, Journal of Derivatives, Journal of Risk, Pacific-Basin Finance Journal, and Advances in Futures and Options Research.
Most helpful customer reviews
6 of 7 people found the following review helpful.
great book from someone with hands on industry experience
By Sameer Thakur
I have read a couple of books on derivatives starting from novice level. when i compare this book with those written by some of rhe other great names i feel it is much clearer andeasy to understand. It answers the questions that come to our mind. the optval library is awesome. i feel it is a must read. Coming from the man who created the Market Volatility Index (i.e., the "VIX") for the Chicago Board Options Exchange and the NASDAQ Market Volatility Index (i.e., the "VXN")it touches upon aspects of derivatives markets which serve to give the practical insight about the market's functionality.
1 of 1 people found the following review helpful.
An excellent text, though not flawless
By David Finnigan
Compared with many of the compulsory texts I've been assigned in the past, this one is a delight. The author clearly has a very good understanding of the subject matter and does an excellent job of working the reader first through the background theory or mathematical proof of a given topic, concluding with the final formula or idea, and then using market or experience-based observations to reiterate the point. What lets the book down, however, is the numerous typos - including in one or two of the equations. I'm sure the second edition will correct many of these, and they're not a big impediment by any stretch; the clarity of thought and breadth of coverage of the subject more than makes up for these small oversights. Highly recommended.
1 of 1 people found the following review helpful.
Good book
By The Reason
This is what I was looking for, a lot of academic background study of real market instruments to inspire new pathways of discovery in my trading.
Derivatives: Markets, Valuation, and Risk Management, by Robert E. Whaley PDF
Derivatives: Markets, Valuation, and Risk Management, by Robert E. Whaley EPub
Derivatives: Markets, Valuation, and Risk Management, by Robert E. Whaley Doc
Derivatives: Markets, Valuation, and Risk Management, by Robert E. Whaley iBooks
Derivatives: Markets, Valuation, and Risk Management, by Robert E. Whaley rtf
Derivatives: Markets, Valuation, and Risk Management, by Robert E. Whaley Mobipocket
Derivatives: Markets, Valuation, and Risk Management, by Robert E. Whaley Kindle
Tidak ada komentar:
Posting Komentar