Risk Management and Derivatives By Rene M. Stulz

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Risk Management and Derivatives
 By Rene M. Stulz

Risk Management and Derivatives By Rene M. Stulz


Risk Management and Derivatives
 By Rene M. Stulz


Free PDF Risk Management and Derivatives By Rene M. Stulz

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Risk Management and Derivatives
 By Rene M. Stulz

  • Sales Rank: #1209382 in Books
  • Published on: 2002-11-27
  • Original language: English
  • Number of items: 1
  • Dimensions: 10.00" h x 8.25" w x 1.25" l, 3.16 pounds
  • Binding: Hardcover
  • 704 pages

Review
1. Introduction to Derivatives. 2. Investors, Derivatives and Risk Management. 3. Creating value with risk management. 4. An integrated approach to risk management. 5. Forward and futures contracts. 6. Hedging exposures with forward and futures contracts. 7. Optimal hedges for the real world. 8. Identifying and managing cash flow exposures. 9. Hedging with options. 10. Option pricing, dynamic hedging, and the binomial model. 11. The Black-Scholes model. 12. Risk measurement and risk management with nonlinear payoffs. 13. Options on bonds and interest rates. 14. The demand and supply for derivative products. 15. Swaps. 16. Using Exotic Options. 17. Credit risks and credit derivatives. 18. The practice of risk management: Recent and future developments.

About the Author
Rene M. Stulz is the Everett D. Reese Chair of Banking and Monetary Economics at the Ohio State University and the Director of the Dice Center for Research in Financial Economics at the Ohio State University. He previously taught at the University of Rochester and held visiting appointments at the Massachusetts Institute of Technology and the University of Chicago. He was a Marvin Bower Fellow at the Harvard Business School for the 1996-1997 academic year. He received his Ph.D. from the Massachusetts Institute of Technology. He holds an honorary doctorate from the University of Neuchâtel in Switzerland and is a Fellow of the Financial Management Association. Rene M. Stulz was editor of the Journal of Finance for twelve years and a co-editor of the Journal of Financial Economics for five years. He edits the corporate finance and banking abstracts for the Social Sciences Research Network. He is also on the editorial board of several academic and practitioner journals. Further, he is a research associate of the National Bureau of Economic Research.

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