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Published .
Written in English


  • Risk management,
  • Derivative securities

Book details:

Edition Notes

Includes index.

StatementRAJIV SRIVASTAVA, Professor, Indian Institute of Foreign Trade, New Delhi
LC ClassificationsHG6024.A3 S685 2010
The Physical Object
Paginationxvi, 592 pages :
Number of Pages592
ID Numbers
Open LibraryOL25374872M
ISBN 100198064349
ISBN 109780198064343
LC Control Number2010281905



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  Satyajit Das is an international specialist in the area of financial derivatives, risk management, and capital markets. He works as a consultant to banks and other financial institutions in Europe, North America, Asia and Australia providing advice on trading, pricing and risk management of derivative transactions/5(2). Advanced Derivatives Pricing and Risk Management covers the most important and cutting-edge topics in financial derivatives pricing and risk management, striking a fine balance between theory and practice. The book contains a wide spectrum of problems, worked-out solutions, detailed methodologies, and applied mathematical techniques for which. Derivatives and Risk Management provides readers with a thorough knowledge of the functions of derivatives and the many risks associated with their use. Besides discussing the particular derivative instruments available in India, the book concentrates on four types of derivatives—forward contracts, futures contracts, swap contracts and. Rajiv Srivastava is presently Professor, Financial Management, Derivatives and Risk Management, Security Analysis and Portfolio Management, and International Financial and Forex Management, at Indian Institute of Foreign Trade, New Delhi. Prof Srivastava has 35 years of experience in working with reputed organizations such as the State Bank of India, Rajasthan Breweries, CMC Ltd and Flex /5(12).