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DERIVATIVES AND RISK MANAGEMENT | 4TH EDITION 4 EDITION

DERIVATIVES AND RISK MANAGEMENT | 4TH EDITION 4 EDITION

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The role of financial derivatives in risk management has been recognised widely in the financial sector. These instruments have a wide range of use in a stand-alone way as well as in combinations. Several students and corporate executives attempting to learn this subject have felt the need for a book that is simple to understand and is free from complex mathematical equations. This book has been written with these tenets in mind. The large number of examples taken from the stock markets will go to show the practical use of concepts in the real world. The book is easy to understand and follows a step-by-step approach. While covering a wide range of basic topics related to financial derivatives, the author seeks to help students and practitioners to get their feet firm on the fundamental principles governing these. The first edition of this book figured in the list of top 10 best sellers (Business World, August 8, 2009)

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