INTRODUCTION TO DERIVATIVE SECURITIES, FINANCIAL MARKETS, AND RISK MANAGEMENT, AN (SECOND EDITION)
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INTRODUCTION TO DERIVATIVE SECURITIES, FINANCIAL MARKETS, AND RISK MANAGEMENT, AN (SECOND EDITION)

by Robert A Jarrow, Arkadev Chatterjea

Business Finance Education
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An Introduction to Derivative Securities, Financial Markets, and Risk Management, Second Edition, by Robert A. Jarrow and Arkadev Chatterjea, delivers a thorough overview of core financial concepts. It explores derivatives, market operations, and risk strategies, providing vital education for aspiring finance experts in an evolving industry.

About This Book

This book provides a foundational exploration of derivative securities, covering their structures, pricing, and applications in financial markets.

It delves into the dynamics of financial markets, including trading mechanisms, market participants, and key instruments that drive economic activity.

Risk management principles are examined in detail, offering strategies to identify, measure, and mitigate financial risks effectively.

As a second edition, it incorporates updated insights and methodologies relevant to contemporary financial practices.

Designed for students and professionals, the text emphasizes practical knowledge and theoretical underpinnings essential for careers in finance.

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I will be using this book for:
2 total votes