Author: Men Ming
Publisher:
Publish Date: 2000-10-18
Features: The purpose of this book is to help readers understand and master the principles, strategies, and techniques of using financial derivatives (such as options, futures, forward contracts, and swaps) for financial risk management. The main content of this book includes the development of risk management products, the risk management process, the risk management market, how to use risk management techniques to increase corporate value, measuring corporate risk exposure, forward contract risk management strategies, futures risk management strategies, swap risk management strategies, option risk management strategies, new risk management product design, hybrid securities, and case studies in financial engineering, among others.
Financial Engineering (School of International Economics and Trade, University of International Business and Economics) UIBE
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