An Introduction to Derivatives and Risk Management
Material type:
- 9789353500511
- 658.155 Â CHA
Item type | Current library | Call number | Copy number | Status | Date due | Barcode | |
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Jawaharlal Nehru Library | 658.155 CHA (Browse shelf(Opens below)) | NPH/24-25/IN-00605 05/03/2025 | Available | 393334 | ||
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Jawaharlal Nehru Library | 658.155 CHA (Browse shelf(Opens below)) | NPH/24-25/IN-00605 05/03/2025 | Available | 394690 |
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658.154 PROJECT PLANNING AND BUDGETARY CONTROL | 658.154 PROJECT PLANNING AND BUDGETARY CONTROL | 658.155 MANAGING PROJECT RISK | 658.155 CHA An Introduction to Derivatives and Risk Management | 658.155 CHA An Introduction to Derivatives and Risk Management | 658.1552 MANAGEMENT ACCOUNTING | 658.1552 MANAGEMENT ACCOUNTING |
An Introduction to derivatives and risk management is an ideal textbook to establish the foundation of financial derivatives and their uses in managing the risk. A perfect blend of theory and practice, this book aims to help readers navigate through the complex and ever-changing world of Derivatives and risk management in an easy-to-follow style. A variety of real-time risk management practices, boxed inserts, end-of-chapter practical applications, and minimal use of technical Mathematics make the text accessible and engaging. Detailed discussions about the derivatives markets and risk management practices in India, along with suitable examples, have also been incorporated. Besides postgraduate students specializing in finance, this book with its application-oriented approach would also be useful for scholars, researchers and practitioners.
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