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Risk Management and Financial Derivatives: A Guide to the Mathematics (Irwin Library of Investment & Finance)
 
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Risk Management and Financial Derivatives: A Guide to the Mathematics (Irwin Library of Investment & Finance) (Hardcover)

by Satyajit Das (Author)
5.0 out of 5 stars  See all reviews (1 customer review)

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Product details

  • Hardcover: 832 pages
  • Publisher: McGraw-Hill Inc.,US (1 April 1998)
  • Language English
  • ISBN-10: 0070153787
  • ISBN-13: 978-0070153783
  • Product Dimensions: 23.9 x 16.3 x 6.2 cm
  • Average Customer Review: 5.0 out of 5 stars  See all reviews (1 customer review)
  • Amazon.co.uk Sales Rank: 3,354,479 in Books (See Bestsellers in Books)
  • See Complete Table of Contents

Product Description

Synopsis

Financial market practitioners cover topics such as the fundamental basis of the application of mathematics to financial markets, in particular the essential risk/reward basis of the value; risk measurement and management including both traditional and nontraditional models of risk; and mathematical techniques underlying featured applications. The

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5.0 out of 5 stars Superbly laid out., 22 May 2002
Takes you step by step through the mathematical & financial content of derivatives and risk management. The content is well presented and very relevant to the theory you read in other books. A must guide for your journey through the derivatives maze!!
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