Financial Engineering is about using financial instruments to reduce or eliminate risk, or to restructure a financial exposure to improve its characteristics. This book shows how to apply the latest techniques by managing financial risks of all kind. The book carefully explains the tools of financial engineering and defines each instrument in depth. It describes the markets on which they are traded, and clearly illustrates how each product is priced and hedged. All applications are illustrated with fully-worked practical examples, and recommended tactics and techniques are "tested" by demonstrating the results with recent historical data. The book provides a solid understanding of the underlying theory as well as a clear demonstration of effective practice. The book:* clearly defines all the tools used in financial engineering* caefully explains instruments such as FRAs, financial futures, options, currency and interest-rate swaps, caps, floors, collars, corridors, swaptions, IRGs, SAFE's and many others* covers advanced products like barrier options, diff swaps, multi-factor and path-dependent options, leveraged floaters and other structured products* considers exactly how each one is used in practice* shows ways in which financial engineering techniques can be applied to manage risks in currencies, interest rates,equities and commodities.
Lawrence Gallitz is a Director of ACF Consultans Ltd, and has extensive knowledge and expertise in the fields of banking and finance. He conducts seminars on wide-ranging topics throughout the world, and regularly undertakes specialised consultancy assignments for major banking clients. Dr Galitz was previously Associate Director of the Institute of European Finance, and was Director of Studies in the School of Accounting Banking and Economics at the University College of North Wales, Bangor.
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EUR 3,53 expédition vers Etats-Unis
Destinations, frais et délaisVendeur : Salish Sea Books, Bellingham, WA, Etats-Unis
Hardcover. Etat : Good. 0273600036 Good; Hardcover; 1994, Trans-Atlantic Publications; Jacket is intact, but with moderate shelfwear & edge-scuffing (Now fitted with a clear plastic jacket cover); Four small coffee stains to exterior right textblock edge; Small amount of notations towards end of book, otherwise unmarked pages; Good binding; White jacket with title in purple & black lettering; 304 pages; "Financial Engineering: Tools and Techniques to Manage Financial Risk (Financial Times)," by Lawrence Galitz. N° de réf. du vendeur SKU-45100301287
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Vendeur : Popeks Used and Rare Books, IOBA, Oneonta, NY, Etats-Unis
Hard Cover. Etat : Very Good. Etat de la jaquette : Very Good. None (illustrateur). 6.5 x 9.5 hard cover book. Black lettering on the beige dust jacket spine with a white and illustrated cover. Tools and techniques to manage financial risk. 480 pages. Light wear. Tight binding. Very Good/Very Good condition. N° de réf. du vendeur EEF8088
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Vendeur : WeBuyBooks, Rossendale, LANCS, Royaume-Uni
Etat : Good. Most items will be dispatched the same or the next working day. A copy that has been read but remains in clean condition. All of the pages are intact and the cover is intact and the spine may show signs of wear. The book may have minor markings which are not specifically mentioned. N° de réf. du vendeur wbs3614444752
Quantité disponible : 1 disponible(s)