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Risk Management and Derivatives

maximize firm value through risk management. This book presents the crucial tools necessary for executives and future derivatives players to;

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The XVA of Financial Derivatives CVA DVA and FVA Explained

and risk management taking into account counterparty risk, and the XVA's Credit, Funding and Debt value adjustments.;

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Credit Risk Management for Derivatives

derivatives markets in the global financial meltdown of 2008. Recapping the evolution in markets and counterparty risk management, as well as key;

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Exotic Derivatives And Risk

at risk, credit derivatives and risk management, to the applications of option pricing theory to real assets.To further elucidate these;

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Derivatives Workbook

contracts * Utilize options for risk management and portfolio optimization * Explore the practical aspects of working within the derivatives markets;

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Shipping Derivatives and Risk Management

A comprehensive book on shipping derivatives and risk management which covers the theoretical and practical aspects of financial risk;

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The Credit Risk of Complex Derivatives

period of dramatic change - in the external operating environment, product and market characteristic and risk management techniques. In the light;

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Derivatives Handbook

of the most complicated and often misunderstood financial instruments in the marketplace. In Derivatives Handbook: Risk Management and Control;

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Knowledge Management And Risk Strategies

This book deals with knowledge management with an emphasis on knowledge risk, i.e., a general trend of knowledge value getting shorter and;

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Introduction to Derivatives and Risk Management

, market-leading INTRODUCTION TO DERIVATIVES AND RISK MANAGEMENT, 10e is packed with real-world examples while keeping technical mathematics to a;

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Bank Stability, Sovereign Debt and Derivatives

cooperative banking; the role of trade credit and the cost of capital; the management of foreign exchange exposures; risk governance and management;

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Derivatives

interested in the role of derivatives within comprehensive portfolio management. General discussion of the types of derivatives and their;

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FX Derivatives Trader School

, plus practical derivatives mathematics is introduced with reference to real-world trading and risk management. Derivative contracts are covered;

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Monte Carlo Methods in Finance

. Ranging from pricing more complex derivatives, such as American and Asian options, to measuring Value at Risk, or modelling complex market;

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Energy Trading & Risk Management

style, Iris Mack breaks down the three primary applications for energy derivatives markets Risk Management, Speculation, and Investment;

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Derivatives, Risk Management And Value

, classical models for pricing of simple and complex derivatives, mathematical foundations, managing and monitoring portfolios of derivatives in real;

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Corporate Financial Management (with supplement)

comprehensive analysis of corporate value, including mergers, risk management using derivatives, and managing exchange rate risk. *Comprehensive;

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Corporate Financial Management

comprehensive analysis of corporate value, including mergers, risk management using derivatives, and managing exchange rate risk. *Comprehensive;

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Aise-An Intro to Derivatives and Risk Mgmt + Stock Track

pricing, trading, and strategy in AN INTRODUCTION TO DERIVATIVES AND RISK MANAGEMENT. A collection of figures illustrate links between puts, calls;

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Derivatives Trading and Option Pricing

This title aims to help the reader manage the risk involved in pricing and trading derivatives and options. Detailed guidance allows the;

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Practical Readings in Financial Derivatives

. Two central themes govern the content. These are the pricing of financial derivatives and their application in risk management. Section I;

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Equity Derivatives Explained

products, their usage, structuring and their risk management. The author efficiently bridges the gap between theory and practice, constantly;

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Mastering Derivatives Markets

chapter on risk and risk management* an updated and expanded glossary of terms Mastering Derivatives Markets concentrates on the fundamentals and;

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Derivatives and Internal Models

The successful first edition provided an introduction to the valuation and risk management of modern financial instruments, formulated in a;

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Derivatives & Financial Mathematics

The application of mathematics to important problems related to financial derivatives and risk management has expanded rapidly in recent;

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Synthetic CDOs

finance landscape, readers are introduced tothe basic modelling concepts necessary to model and value simple credit derivatives. The modelling;

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Derivatives

are called risk management, but are primarily based on valuation and application of derivatives. Derivatives: Valuation and Risk Management;

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