株式会社極東書店トップ商品一覧Measuring and Managing Derivative Market Risk.

商品詳細

Measuring and Managing Derivative Market Risk.

Measuring and Managing Derivative Market Risk.

・ISBN 978-1-86152-006-7 hard

絶版

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著者・編者Lawrence, David,
出版社(International Thomson Business Pr., UK)
出版年月1996
ページ数216 pp.
言語ENG
ニュース番号<260-4709>

解説

Recent well-publicized losses on the derivatives markets have highlighted the need for a much closer understanding of the price risk involved, not just among the specialists but at all levels within financial institutions and end-user companies. This text sets out a clear, logical approach to the measurement of price risk positions using the techniques of factor sensitivity analysis and value at risk, illustrated with straightforward numerical examples. It should be a useful guide to a key area of risk management.