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Search for author name: "John C. Hull" | Books found: 1
Options, Futures and Other Derivatives
Options, Futures and Other Derivatives
Author: John C. Hull | Publisher: Prentice Hall
How do you bring real world scenarios into your course? Or would you like to? Business Snapshots (about 60 in total, found in almost all chapters)—Carefully thought out and integrated into the main material in chapters. Describe real world situations and interesting issues that are highlighted to illustrate points being made throughout the text. Completely revised chapters on credit risk and credit derivatives (Ch 20 and 21)—Reflects market developments. Makes these chapters in this edition more straightforward and easier to teach. Ope
Added: 04.05.2007ISBN: 0131499084Pages: 816Price: £ 82,44Lang.: EnglishRecommended
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Hedge Funds and Operationa
Hedge Funds and Operational Risk: A Guide to Best Practice
Pages: 159
Price: £ 227,05
Lang.: English
In this book, the author provides investors with information to rate the hedge funds' risk infrastructures from 1 (worse) to 4 (best). It is an independent tool to assess if hedge funds' managers have been ne
Pricing and Hedging Swaps
Pricing and Hedging Swaps
Pages: 245
Price: £ 145,00
Lang.: English
This book explains both the basic and advanced principles of pricing swaps and their hedge applications. Chapters describe pricing methods, swaps valuation, dealing with interest rate exposure, developing tradi
Active Portfolio Managemen
Active Portfolio Management : A quantative approach for producing superior returns and selecting superior money managers
Pages: 596
Price: £ 28,19
Lang.: English
"Active Portfolio Management, 2nd Edition" is written and revised by two of today's top investment theorists. It outlines a highly rigorous approach for understanding and profiting from active investment. Featu
Risk Management and Shareh
Risk Management and Shareholders' Value in Banking: From Risk Measurement Models to Capital Allocation Policies (The Wiley Finance Series)
Pages: 808
Price: £ 33,99
Lang.: English
This book presents an integrated framework for risk measurement, capital management and value creation in banks. Moving from the measurement of the risks facing a bank, it defines criteria and rules to support
The Hedge Fund Edge: Maxim
The Hedge Fund Edge: Maximum Profit/Minimum Risk Global Trend Trading Strategies (Wiley Trading)
Pages: 384
Price: £ 39,49
Lang.: English
A unique approach to trading the world markets and taking profits globally. Introducing a robust trading strategy that incorporates techniques from both technical and fundamental analysis, Mark Boucher examines
Advanced Macroeconomics
Advanced Macroeconomics
Pages: 696
Price: £ 41,79
Lang.: English
David Romer’s Advanced Macroeconomics, 3e is the standard text and the starting point for graduate macro courses and helps lay the groundwork for students to begin doing research in macroeconomics and monetar