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Pricing and Hedging Financial Derivatives – An Introductory Guide for Practitioners: The Wiley Finance Series

Autor L Marroni
en Limba Engleză Hardback – 21 noi 2013
The only guide focusing entirely on practical approaches to pricing and hedging derivatives One valuable lesson of the financial crisis was that derivatives and risk practitioners don't really understand the products they're dealing with. Written by a practitioner for practitioners, this book delivers the kind of knowledge and skills traders and finance professionals need to fully understand derivatives and price and hedge them effectively. Most derivatives books are written by academics and are long on theory and short on the day-to-day realities of derivatives trading. Of the few practical guides available, very few of those cover pricing and hedging--two critical topics for traders. What matters to practitioners is what happens on the trading floor--information only seasoned practitioners such as authors Marroni and Perdomo can impart. * Lays out proven derivatives pricing and hedging strategies and techniques for equities, FX, fixed income and commodities, as well as multi-assets and cross-assets * Provides expert guidance on the development of structured products, supplemented with a range of practical examples * Packed with real-life examples covering everything from option payout with delta hedging, to Monte Carlo procedures to common structured products payoffs * The Companion Website features all of the examples from the book in Excel complete with source code
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Specificații

ISBN-13: 9781119953715
ISBN-10: 1119953715
Pagini: 264
Dimensiuni: 170 x 244 x 14 mm
Greutate: 0.64 kg
Editura: Wiley
Seria The Wiley Finance Series

Locul publicării:Chichester, United Kingdom

Public țintă

The book is suitable for all finance practitioners but in particular, roles in trading, structuring and sales, students on MSc and MBA programmes.

Cuprins


Notă biografică

LEONARDO MARRONI is an asset manager with the Emerging Markets team at GLG Partners in London. He joined in January 2010 from Barclays where he was working as a structurer in the commodities division. Before joining Barclays, Leonardo worked in the equity structured products trading team at Banca Caboto in London where he was responsible for structuring and trading algorithmic products. Prior to this, Leonardo was part of the interest rates derivatives trading team at Banca Caboto in Milan. Leonardo graduated in Economics from Bocconi University in Milan. IRENE PERDOMO trades base metals at Noble in Singapore. Prior to this, she worked as a structurer for the commodities division of Barclays in London. Irene has an MBA from IESE Business School in Barcelona. She is a native of Uruguay and she studied Computer Science Engineering in Montevideo. She also spent time studying finance at the University of Chicago Booth School of Business. Before working in the finance industry, she worked in IT, in South America and the Indian sub-continent.

Descriere

The only guide focusing entirely on practical approaches to pricing and hedging derivatives One valuable lesson of the financial crisis was that derivatives and risk practitioners don't really understand the products they're dealing with.