Fundamentals And Advanced Techniques In Derivatives Hedging

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Fundamentals And Advanced Techniques In Derivatives Hedging
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Author : Bruno Bouchard
language : en
Publisher: Springer
Release Date : 2016-06-23
Fundamentals And Advanced Techniques In Derivatives Hedging written by Bruno Bouchard and has been published by Springer this book supported file pdf, txt, epub, kindle and other format this book has been release on 2016-06-23 with Mathematics categories.
This book covers the theory of derivatives pricing and hedging as well as techniques used in mathematical finance. The authors use a top-down approach, starting with fundamentals before moving to applications, and present theoretical developments alongside various exercises, providing many examples of practical interest.A large spectrum of concepts and mathematical tools that are usually found in separate monographs are presented here. In addition to the no-arbitrage theory in full generality, this book also explores models and practical hedging and pricing issues. Fundamentals and Advanced Techniques in Derivatives Hedging further introduces advanced methods in probability and analysis, including Malliavin calculus and the theory of viscosity solutions, as well as the recent theory of stochastic targets and its use in risk management, making it the first textbook covering this topic. Graduate students in applied mathematics with an understanding of probability theory and stochastic calculus will find this book useful to gain a deeper understanding of fundamental concepts and methods in mathematical finance.
Computational Intelligence In Engineering Science
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Author : Ngoc Thanh Nguyen
language : en
Publisher: Springer Nature
Release Date : 2025-07-18
Computational Intelligence In Engineering Science written by Ngoc Thanh Nguyen and has been published by Springer Nature this book supported file pdf, txt, epub, kindle and other format this book has been release on 2025-07-18 with Computers categories.
This four-volume set constitutes the refereed proceedings of the First International Conference on on Computational Intelligence in Engineering Science, ICCIES 2025, in Ho Chi Minh City, Vietnam, during July 23–25, 2025. The 115 full papers presented in these proceedings were carefully reviewed and selected from 210 submissions. The papers are organized in the following topical sections: Part I: Machine Learning; Wireless Networks (6G) Part II: Computer Vision; Natural Language Processing Part III: Intelligent Systems; Internet of Things Part IV: Machine Learning; Control Systems
Dynamic Hedging
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Author : Nassim Nicholas Taleb
language : en
Publisher: John Wiley & Sons
Release Date : 1997-01-14
Dynamic Hedging written by Nassim Nicholas Taleb and has been published by John Wiley & Sons this book supported file pdf, txt, epub, kindle and other format this book has been release on 1997-01-14 with Business & Economics categories.
Destined to become a market classic, Dynamic Hedging is the only practical reference in exotic options hedgingand arbitrage for professional traders and money managers Watch the professionals. From central banks to brokerages to multinationals, institutional investors are flocking to a new generation of exotic and complex options contracts and derivatives. But the promise of ever larger profits also creates the potential for catastrophic trading losses. Now more than ever, the key to trading derivatives lies in implementing preventive risk management techniques that plan for and avoid these appalling downturns. Unlike other books that offer risk management for corporate treasurers, Dynamic Hedging targets the real-world needs of professional traders and money managers. Written by a leading options trader and derivatives risk advisor to global banks and exchanges, this book provides a practical, real-world methodology for monitoring and managing all the risks associated with portfolio management. Nassim Nicholas Taleb is the founder of Empirica Capital LLC, a hedge fund operator, and a fellow at the Courant Institute of Mathematical Sciences of New York University. He has held a variety of senior derivative trading positions in New York and London and worked as an independent floor trader in Chicago. Dr. Taleb was inducted in February 2001 in the Derivatives Strategy Hall of Fame. He received an MBA from the Wharton School and a Ph.D. from University Paris-Dauphine.
Introduction To Derivative Securities Financial Markets And Risk Management An Third Edition
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Author : Robert A Jarrow
language : en
Publisher: World Scientific
Release Date : 2024-05-03
Introduction To Derivative Securities Financial Markets And Risk Management An Third Edition written by Robert A Jarrow and has been published by World Scientific this book supported file pdf, txt, epub, kindle and other format this book has been release on 2024-05-03 with Business & Economics categories.
The third edition updates the text in two significant ways. First, it updates the presentation to reflect changes that have occurred in financial markets since the publication of the 2nd edition. One such change is with respect to the over-the-counter interest rate derivatives markets and the abolishment of LIBOR as a reference rate. Second, it updates the theory to reflect new research related to asset price bubbles and the valuation of options. Asset price bubbles are a reality in financial markets and their impact on derivative pricing is essential to understand. This is the only introductory textbook that contains these insights on asset price bubbles and options.
Crypto Trading Fundamentals A Comprehensive Guidev
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Author : Gaurav Garg
language : en
Publisher: Gaurav Garg
Release Date : 2023-09-16
Crypto Trading Fundamentals A Comprehensive Guidev written by Gaurav Garg and has been published by Gaurav Garg this book supported file pdf, txt, epub, kindle and other format this book has been release on 2023-09-16 with Business & Economics categories.
Welcome to the fascinating world of cryptocurrency trading! If you're holding this book in your hands, you've already taken the first step towards mastering a financial frontier that's reshaping the way we think about money and investments. In the past decade, cryptocurrencies have surged from obscurity to headlines, making millionaires and capturing the imaginations of investors worldwide. Yet, beneath the hype and buzzwords lies a complex and dynamic landscape that demands a deep understanding, strategic thinking, and a thirst for knowledge. This book, "Crypto Trading Fundamentals: A Comprehensive Guide," is your key to unlocking the mysteries of this digital universe. Whether you're a seasoned trader looking to refine your strategies or a newcomer seeking to embark on a profitable journey, you're in the right place. Our goal is simple: to equip you with the knowledge, skills, and mindset necessary to navigate the cryptocurrency markets with confidence and success. We'll delve into the fundamentals, explore advanced trading techniques, and provide insights from experts who've weathered the storms and reaped the rewards. But let's be clear, this isn't a promise of overnight riches or a get-rich-quick scheme. Cryptocurrency trading is a discipline that rewards dedication, patience, and continuous learning. It's a journey filled with both exhilarating highs and challenging lows. In these pages, you'll discover the principles of blockchain technology, learn how to set up your trading account securely, understand market dynamics, decipher price charts, and explore various trading strategies. You'll gain insights into risk management, security measures, and even delve into advanced concepts like derivatives, algorithmic trading, and decentralized finance. But this book is not just about theory; it's about practical application. Throughout your reading journey, you'll find real-world examples, case studies, and actionable tips that you can apply immediately to your trading endeavors. We've crafted this guide to be both informative and engaging, ensuring that you not only grasp the concepts but also see how they work in practice. So, whether you're reading this book with a sense of curiosity, ambition, or a desire for financial independence, know that you're taking a significant step towards mastering a new frontier. The cryptocurrency world is evolving at an astonishing pace, and with the right knowledge and determination, you can harness its potential. Are you ready to embark on this exhilarating journey into the world of cryptocurrency trading? If so, turn the page and let's begin. To your success in mastering crypto trading!
A Course In Derivative Securities
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Author : Kerry Back
language : en
Publisher: Springer Science & Business Media
Release Date : 2005-10-11
A Course In Derivative Securities written by Kerry Back and has been published by Springer Science & Business Media this book supported file pdf, txt, epub, kindle and other format this book has been release on 2005-10-11 with Business & Economics categories.
"Deals with pricing and hedging financial derivatives.... Computational methods are introduced and the text contains the Excel VBA routines corresponding to the formulas and procedures described in the book. This is valuable since computer simulation can help readers understand the theory....The book...succeeds in presenting intuitively advanced derivative modelling... it provides a useful bridge between introductory books and the more advanced literature." --MATHEMATICAL REVIEWS
Accounting For Risk Hedging And Complex Contracts
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Author : A. Rashad Abdel-Khalik
language : en
Publisher: Routledge
Release Date : 2013-10-08
Accounting For Risk Hedging And Complex Contracts written by A. Rashad Abdel-Khalik and has been published by Routledge this book supported file pdf, txt, epub, kindle and other format this book has been release on 2013-10-08 with Business & Economics categories.
With the exponential growth in financial derivatives, accounting standards setters have had to keep pace and devise new ways of accounting for transactions involving these instruments, especially hedging activities. Accounting for Risk, Hedging and Complex Contracts addresses the essential elements of these developments, exploring accounting as related to today's most relevant topics - risk, hedging, insurance, reinsurance, and more. The book begins by providing a basic foundation by discussing the concepts of risk, risk types and measurement, and risk management. It then introduces readers to the nature and valuation of free standing options, swaps, forward and futures as well as of embedded derivatives. Discussion and illustrations of the cash flow hedge and fair value hedge accounting treatments are offered in both single currency and multiple currency environments, including hedging net investment in foreign operations. The final chapter is devoted to the disclosure of financial instruments and hedging activities. The combination of these topics makes the book a must-have resource and reference in the field. With discussions of the basic tools and instruments, examinations of the related accounting, and case studies to help students apply their knowledge, this book is an essential, self-contained source for upper-level undergraduate and masters accounting students looking develop an understanding of accounting for today’s financial realities.
Fundamentals Of Financial Instruments
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Author : Sunil K. Parameswaran
language : en
Publisher: John Wiley & Sons
Release Date : 2011-11-08
Fundamentals Of Financial Instruments written by Sunil K. Parameswaran and has been published by John Wiley & Sons this book supported file pdf, txt, epub, kindle and other format this book has been release on 2011-11-08 with Business & Economics categories.
The essential guide to financial instruments, logically presented Fundamentals of Financial Instruments deals with the global financial markets and the instruments in which they trade. While most books on finance tend to be heavily mathematical, this book emphasizes the concepts in a logical, sequential fashion, introducing mathematical concepts only at the relevant times. As a result, the reader gains conceptual clarity reinforced by just the right level of technical detail to ensure a comprehensive exposure to the skills needed in the financial world. Establishes a strong foundation for understanding global markets Acts as an invaluable resource for those considering a career in the financial markets Offers an accessible yet in-depth treatise on modern financial instruments Presents a logical navigational path for a typical student of finance who is attempting to come to terms with the intricacies of the subject Covering the fundamentals of various types of assets in a single volume, Fundamentals of Financial Instruments is a compact yet comprehensive one-stop reference for students and professionals in finance and economics.
Derivatives And Internal Models
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Author : Hans-Peter Deutsch
language : en
Publisher: Springer Nature
Release Date : 2019-10-08
Derivatives And Internal Models written by Hans-Peter Deutsch and has been published by Springer Nature this book supported file pdf, txt, epub, kindle and other format this book has been release on 2019-10-08 with Business & Economics categories.
Now in its fifth edition, Derivatives and Internal Models provides a comprehensive and thorough introduction to derivative pricing, risk management and portfolio optimization, covering all relevant topics with enough hands-on, depth of detail to enable readers to develop their own pricing and risk tools. The book provides insight into modern market risk quantification methods such as variance-covariance, historical simulation, Monte Carlo, hedge ratios, etc., including time series analysis and statistical concepts such as GARCH Models or Chi-Square-distributions. It shows how optimal trading decisions can be deduced once risk has been quantified by introducing risk-adjusted performance measures and a complete presentation of modern quantitative portfolio optimization. Furthermore, all the important modern derivatives and their pricing methods are presented; from basic discounted cash flow methods to Black-Scholes, binomial trees, differential equations, finite difference schemes, Monte Carlo methods, Martingales and Numeraires, terms structure models, etc. The fifth edition of this classic finance book has been comprehensively reviewed. New chapters/content cover multicurve bootstrapping, the valuation and hedging of credit default risk that is inherently incorporated in every derivative—both of which are direct and permanent consequences of the financial crises with a large impact on our understanding of modern derivative valuation. The book will be accompanied by downloadable Excel spread sheets, which demonstrate how the theoretical concepts explained in the book can be turned into valuable algorithms and applications and will serve as an excellent starting point for the reader’s own bespoke solutions for valuation and risk management systems.
Derivatives Analytics With Python
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Author : Yves Hilpisch
language : en
Publisher: John Wiley & Sons
Release Date : 2015-08-03
Derivatives Analytics With Python written by Yves Hilpisch and has been published by John Wiley & Sons this book supported file pdf, txt, epub, kindle and other format this book has been release on 2015-08-03 with Business & Economics categories.
Supercharge options analytics and hedging using the power of Python Derivatives Analytics with Python shows you how to implement market-consistent valuation and hedging approaches using advanced financial models, efficient numerical techniques, and the powerful capabilities of the Python programming language. This unique guide offers detailed explanations of all theory, methods, and processes, giving you the background and tools necessary to value stock index options from a sound foundation. You'll find and use self-contained Python scripts and modules and learn how to apply Python to advanced data and derivatives analytics as you benefit from the 5,000+ lines of code that are provided to help you reproduce the results and graphics presented. Coverage includes market data analysis, risk-neutral valuation, Monte Carlo simulation, model calibration, valuation, and dynamic hedging, with models that exhibit stochastic volatility, jump components, stochastic short rates, and more. The companion website features all code and IPython Notebooks for immediate execution and automation. Python is gaining ground in the derivatives analytics space, allowing institutions to quickly and efficiently deliver portfolio, trading, and risk management results. This book is the finance professional's guide to exploiting Python's capabilities for efficient and performing derivatives analytics. Reproduce major stylized facts of equity and options markets yourself Apply Fourier transform techniques and advanced Monte Carlo pricing Calibrate advanced option pricing models to market data Integrate advanced models and numeric methods to dynamically hedge options Recent developments in the Python ecosystem enable analysts to implement analytics tasks as performing as with C or C++, but using only about one-tenth of the code or even less. Derivatives Analytics with Python — Data Analysis, Models, Simulation, Calibration and Hedging shows you what you need to know to supercharge your derivatives and risk analytics efforts.