Risk management and financial institutions /
332.1068HUL
Hull, John C.
Risk management and financial institutions / by John C.Hull.- 3rd ed..-New Delhi:John Wiley ,2014(repr.).
xxi,643p. :ill.;24cm(pbk)
content:Business snapshots -- Preface -- Introduction -- Financial institutions and their trading -- Banks -- Insurance companies and pension plans -- Mutual funds and hedge funds -- Appendix a: compounding frequencies and interest rates -- Appendix b: zero rates, forward rates, and zero-coupon yield curves -- Appendix c: valuing forward and futures contracts -- Appendix d: valuing swaps -- Appendix e: valuing european options -- Appendix f: valuing american options -- Appendix g: taylor series expansions -- Appendix h: eigenvectors and eigenvalues -- Appendix i: principal components analysis -- Appendix j: manipulation of credit transition matrices -- Appendix k: valuation of credit default swaps -- Appendix l: synthetic cdos and their valuation -- Answers to questions and problems -- Glossary of terms -- Derivagem software.
Note: Includes bibliographical references and index
ISBN:9788126536344 Rs. 709.00
Asian Book Centre/Ven / DBAD/PUB /BAC-EN21 ENG-111858/ B-584552 / 709.00 /sign B-584543 / 709.00 /sign B-584559 / 709.00 /sign B-584556 / 709.00 /sign B-584558 / 709.00 /sign B-584547 / 709.00 /sign EN-95390 / 709.00 /sign B-584548 / 709.00 /sign B-584549 / 709.00 /sign B-584544 / 709.00 /sign B-584541 / 709.00 /sign B-584542 / 709.00 /sign B-584557 / 709.00 /sign B-584545 / 709.00 /sign B-584551 / 709.00 /sign B-584553 / 709.00 /sign B-584546 / 709.00 /sign B-584555 / 709.00 /sign B-584550 / 709.00 /sign B-584554 / 709.00 /sign
