|<< Test bank for Macroeconomics 12th edition, Robert J Gordon||Test bank for International Marketing 10th edition by Michael R. Czinkota >>|
Download FREE Sample Here for Solution manual for Introduction to Derivatives and Risk Management, 9th Edition by Don M. Chance. Note : this is not a text book. File Format : PDF or WordDescriptionSolution manual for Introduction to Derivatives and Risk Management, 9th Edition by Don M. Chance Table of Contents PART I Options. 1. Introduction. 2. Structure of Options Markets. 3. Principles of Option Pricing. 4. Option Pricing Models: The Binomial Model. 5. Option Pricing Models: The Black-Scholes-Merton Model. 6. Basic Option Strategies. 7. Advanced Option Strategies. PART II Forwards, Futures, and Swaps. 8. The Structure of Forward and Futures Markets. 9. Principles of Pricing Forwards, Futures, and Options on Futures. 10. Futures Arbitrage Strategies. 11. Forward and Futures Hedging, Spread, and Target Strategies. 12. Swaps. PART III Advanced Topics. 13. Interest Rate Forwards and Options. 14. Advanced Derivatives and Strategies. 15. Financial Risk Management Techniques and Applications. 16. Managing Risk in an Organization. Appendix A: List of Formulas. Appendix B: References. Appendix C: Solutions to Concept Checks. Glossary. Index.
Once the order is placed, the order will be delivered to your email less than 24 hours, mostly within 4 hours.
If you have questions, you can contact us here