Risk management and derivatives /
By: Stulz, Rene M
Material type: BookPublisher: Mason, OH : Thomson/South-Western, c2003.Description: xxii, 676 p. : ill ; 26 cm.ISBN: 9780538861014Program: FIN956Subject(s): Risk management | DerivativesDDC classification: 0 Online resources: Location MapItem type | Home library | Call number | Status | Date due | Barcode | Item holds |
---|---|---|---|---|---|---|
REGULAR | University of Wollongong in Dubai Main Collection | 332.645 ST RI (Browse shelf) | Available | T0037228 | ||
REGULAR | University of Wollongong in Dubai Main Collection | 332.645 ST RI (Browse shelf) | Available | T0037229 |
Total holds: 0
Includes bibliographical references and index.
Table of content Part 1 Why risk management? Part 2 Hedging with forwards, Futures, and Options contracts Part 3 Beyond plain Vanilla risk management Part 4 Conclusion.
FIN956