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Derivatives and Risk Management Basics Don M. Chance.

By: Material type: TextPublication details: New Delhi.] : Cengage Learning 2008.Description: 562 ; ( Rk #8.b, Sh # 04) 26 cmISBN:
  • 0935015930 (hardcover)
  • 9780935015935 (hardcover)
DDC classification:
  • 658.403
Online resources: Summary: Analysis of Derivatives for the CFA� Program introduces students and practitioners to a practical risk management approach to derivatives. The textbook captures current practice and reflects what the general investment practitioner needs to know about derivatives. It does not simply deliver an explanation of various derivatives instruments and positions but provides motivation for every derivatives position by explaining what the manager wants to accomplish prior to addressing the details of the position.
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Analysis of Derivatives for the CFA� Program introduces students and practitioners to a practical risk management approach to derivatives. The textbook captures current practice and reflects what the general investment practitioner needs to know about derivatives. It does not simply deliver an explanation of various derivatives instruments and positions but provides motivation for every derivatives position by explaining what the manager wants to accomplish prior to addressing the details of the position.

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