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Options, Futures and Other Derivatives: United States Edition - Hardcover

 
9780131499089: Options, Futures and Other Derivatives: United States Edition

Synopsis

For advanced undergraduate or graduate business, economics, and financial engineering courses in derivatives, options and futures, financial engineering or risk management.

 

Designed to bridge the gap between theory and practice, this successful book is regarded as “the bible” in trading rooms throughout the world. Hull offers a clear presentation with various numerical examples, as well as good practical knowledge of how derivatives are priced and traded.

 

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Review

featured in 5 of the best -- Quality World, November 2006

Synopsis

How do you bring real world scenarios into your course? Or would you like to? Business Snapshots (about 60 in total, found in almost all chapters) - Carefully thought out and integrated into the main material in chapters. *Describe real world situations and interesting issues that are highlighted to illustrate points being made throughout the text. Completely revised chapters on credit risk and credit derivatives (Ch 20 and 21) - Reflects market developments. *Makes these chapters in this edition more straightforward and easier to teach. Opening six chapters have been replaced by seven chapters that cover forward, futures, and swaps in a more student-friendly way. *The main change here is that the chapter on interest rates has been split into two chapters, one devoted to the math involving interest rates, the other to interest rate futures contracts and how they are used in hedging, which will be easier for students to grasp. More discussion of how models can be implemented in Excel - Monte Carlo simulation in Chapter 17, GARCH models in Chapter 19, and the variance-gamma model in Chapter 24.

*Includes examples in the book and Excel spreadsheets on Web site to illustrate applications. A series of Technical Notes - Available on the author's Web site to accompany the book. *Creates a streamlined and more student friendly presentation by including less purely technical material in the book. Separate chapter on Convexity, Timing, and Quanto adjustments. *Affords succinct and targeted coverage of these concepts for deeper coverage students need. New topics *For example, the size of derivatives markets is discussed in Chapter 1, Basel II is discussed in Chapter 20, and the variance-gamma model is covered in Chapter 24. More in-depth coverage *For example, convexity adjustments to Eurodollar futures in Chapter 5, copula models in Chapters 20 and 21, and executive stock options in Chapters 8 and 13.

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