Introduction to Derivatives and Risk Management 10th Edition – Don M. Chance, Roberts Brooks

SKU : PRE-9781305104976

$33.15

CAUTION: You’re about to purchase a high quality copy (no missing contents), NOT a Paper Book! It can be printed, stored and read on any devices. You’ll get this copy via EMAIL within 24 after purchasing.

Master the intricacies of derivatives and risk management with the comprehensive 10th edition of “Introduction to Derivatives and Risk Management” by Don M. Chance and Roberts Brooks. This authoritative text provides a clear and accessible guide to the fundamental concepts, techniques, and applications within this crucial field of finance.

The book delves into a wide range of derivatives, including futures, forwards, swaps, options, and more, equipping you with a solid understanding of their properties, valuation, and risk management implications. Through detailed explanations and real-world examples, you’ll gain practical insights into hedging strategies, portfolio optimization, and the management of financial risks across diverse market environments.

Ideal for students and professionals alike, this 10th edition benefits from updated content reflecting the latest market trends and regulatory changes. It seamlessly integrates theoretical frameworks with practical applications, fostering a deep understanding of derivative markets and their role in mitigating financial uncertainty. Expect thorough coverage of key topics, including option pricing models, risk-neutral valuation, and advanced hedging techniques.

ISBN: 9781305104976. This edition ensures you have access to the most current and relevant information in the ever-evolving landscape of derivatives and risk management.

Master derivatives & risk management with Chance & Brooks’ 10th edition. This comprehensive guide covers futures, options, swaps & more. Updated content reflects current market trends. ISBN: 9781305104976