ENGLISH

An Introduction to Equity Derivatives: Theory and Practice

Book information

Publisher
Wiley
Year
2012
ISBN
9781119961857, 9781118673522
DOI
10.1002/9781118673522
Language
english
Format
PDF
Filesize
3 MB (3643628 bytes)
Series
Wiley Finance
Edition
2nd
Pages
233\233
Orientation
yes
Scanned
yes
Time added
2013-08-01 04:00:00

Description

Everything you need to get a grip on the complex world of derivativesWritten by the internationally respected academic/finance professional author team of Sebastien Bossu and Philipe Henrotte, An Introduction to Equity Derivatives is the fully updated and expanded second edition of the popular Finance and Derivatives. It covers all of the fundamentals of quantitative finance clearly and concisely without going into unnecessary technical detail. Designed for both new practitioners and students, it requires no prior background in finance and features twelve chapters of gradually increasing difficulty, beginning with basic principles of interest rate and discounting, and ending with advanced concepts in derivatives, volatility trading, and exotic products. Each chapter includes numerous illustrations and exercises accompanied by the relevant financial theory. Topics covered include present value, arbitrage pricing, portfolio theory, derivates pricing, delta-hedging, the Black-Scholes model, and more.An excellent resource for finance professionals and investors looking to acquire an understanding of financial derivatives theory and practiceCompletely revised and updated with new chapters, including coverage of cutting-edge concepts in volatility trading and exotic products An accompanying website is available which contains additional resources including powerpoint slides and spreadsheets. Visit www.introeqd.com for details.Content: Chapter 1 Interest Rate (pages 1–10): Chapter 2 Classical Investment Rules (pages 11–17): Chapter 3 Fixed Income (pages 19–34): Chapter 4 Portfolio Theory (pages 35–46): Chapter 5 Equity Derivatives (pages 47–64): Chapter 6 The Binomial Model (pages 65–73): Chapter 7 The Lognormal Model (pages 75–82): Chapter 8 Dynamic Hedging (pages 83–92): Chapter 9 Models for Asset Prices in Continuous Time (pages 93–107): Chapter 10 The Black?Scholes Model (pages 109–116): Chapter 11 Volatility Trading (pages 117–125): Chapter 12 Exotic Derivatives (pages 127–141):

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