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Foreword | ||
Acknowledgments | ||
About the Editors | ||
Contributors | ||
Introduction | ||
Pt. 1 | Interest Rates | 1 |
1 | A Survey of Bond Option Pricing Models | 3 |
2 | Mean Reversion Interest Rate Modeling | 31 |
3 | Interest-Rate Options: Choosing a Model for Trading | 49 |
4 | The Pricing of Options on Interest-Rate Caps and Floors Using the Hull-White Model | 59 |
Pt. 2 | Exchange Rate | 69 |
5 | A Quick Algorithm for Pricing European Average Options | 71 |
6 | Currency Derivatives for the Investor | 89 |
Pt. 3 | Risk Management Techniques | 101 |
7 | The Use of Interest Rate Swaps in Managing Corporate Liabilities | 103 |
8 | The Uses of Hybrid Debt in Managing Corporate Risk | 129 |
9 | Risk Management in Banking | 147 |
10 | Option Replication Technology | 163 |
11 | Techniques for Managing a LIBOR-Plus Fund | 181 |
Pt. 4 | Innovative Applications | 193 |
12 | Environmental Futures: Preliminary Thoughts on the Market for Sulfur Dioxide Emission Allowances | 195 |
13 | Hedging Business Cycle Risk with Macro Swaps and Options | 213 |
14 | Equity Derivatives for Investors | 223 |
15 | Yield Curve Applications of Swap Products | 245 |
Pt. 5 | Systems and Credits | 267 |
16 | Visualization of Derivatives Risk | 269 |
17 | The Default Risk of Swaps | 295 |
Pt. 6 | Tax | 325 |
18 | Equity Derivative Products: Financial Innovation's Newest Challenge to the Tax System | 327 |
19 | Uncertain Futures: The Tax Treatment of Hedging | 377 |
Pt. 7 | Legal and Regulatory | 385 |
20 | A Review of International and U.S. Case Law Affecting Swaps and Related Derivative Products | 387 |
21 | Financial Innovation and Uncertain Regulation: Selected Issues Regarding New Product Development | 439 |
22 | Hybrid Instruments and the Commodity Exchange Act - A Practical Guide | 507 |
23 | US Hybrid Instruments: Evolving Legal and Economic Issues | 517 |
24 | The New Regulation of Hybrid Debt Instruments | 531 |
25 | Managing a Derivative Products Business from a Risk-Adjusted Perspective | 553 |
Pt. 8 | Accounting | 577 |
26 | Hedge Accounting: A State-of-the-Art Review | 579 |
27 | Accounting for Futures Contracts and the Effect on Earnings Variability | 591 |
28 | Characteristics of Hedging Firms: An Empirical Examination | 615 |
Glossary | 637 | |
Chapter Note | 653 | |
Index | 655 |
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Add Advanced Strategies in Financial Risk Management, Advanced Strategies in Financial Risk Management Robert J. Schwartz, Clifford W. Smith, Jr. Advanced Strategies in Financial Risk Management should be read by all practitioners, students and regulators of the derivatives markets. It brings, Advanced Strategies in Financial Risk Management to the inventory that you are selling on WonderClubX
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Add Advanced Strategies in Financial Risk Management, Advanced Strategies in Financial Risk Management Robert J. Schwartz, Clifford W. Smith, Jr. Advanced Strategies in Financial Risk Management should be read by all practitioners, students and regulators of the derivatives markets. It brings, Advanced Strategies in Financial Risk Management to your collection on WonderClub |