Please Read Notes: Brand New, International Softcover Edition, Printed in black and white pages, minor self wear on the cover or pages, Sale restriction may be printed on the book, but Book name, contents, and author are exactly same as Hardcover Edition. Fast delivery through DHL/FedEx express.
"synopsis" may belong to another edition of this title.
"This is a careful introduction to securities, securitized products, futures options and vanilla swaps covering their basic structure, market and trading and elementary pricing methods. It will appeal to readers requiring a gentle explanation of the fundamental concepts underlying the main classes of financial instruments, where every step is clearly illustrated by a simple numerical example. There are many specialized advanced mathematical texts on pricing and hedging financial instruments, but few other texts can compete with the clarity of Sunil Parameswaran′s Fundamentals of Financial Instruments as an introduction to the general subject."
Pofessor Carol Alexander, Chair of Financial Risk Management, ICMA Centre, Henley Business School at Reading Chair of the Board, Professional Risk Manager s International Association
"his book is a comprehensive survey of financial instruments with illustrations to enable an assiduous reader to understand not only their definitions but also the mechanics and numerical implementation. It will prove a valuable reference."
Professor Simon Benninga, Faculty of Management, Tel Aviv University
"The book contains an excellent and comprehensive coverage of all important financial products and instruments which are extensively used in financial markets. It provides the reader with the fundamentals of valuation, nature of the markets and a wide range of applications of these instruments. It will be a very useful text in MBA courses dealing with financial markets and instruments."
Professor P.G. Apte, Professor, Indian Institute of Management, Bangalore, India
Sunil K. Parameswaran is a Professor of Finance at the T.A. Pai Management Institute in Manipal, where he anchors courses in the area of Finance. His primary areas of interest are Securities Markets, Financial Derivatives, Fixed Income Securities, International Finance, and Banking. For the past seven years Dr. Parameswaran has also been a corporate trainer and management consultant. He has delivered training programs on Global Securities Markets and Global Banking to many multinational IT firms located in India including WIPRO Technologies, HCL Technologies, MINDTREE Consulting; JPMorgan Chase, Société Générale, ANZ Information Technology, and Kanbay (now a part of Cap Gemini). Dr. Parameswaran also has several years of teaching experience at leading business schools in the U.S., Singapore, Australia, and India.
Dr. Parameswaran obtained his Ph.D. in Finance from the Fuqua School of Business at Duke University in North Carolina, U.S.A. He obtained his M.B.A. from the Indian Institute of Management, Bangalore. A prolific writer, he has published several books, primarily in the field of Financial Derivatives.
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Paperback. Condition: Good. No Jacket. Pages can have notes/highlighting. Spine may show signs of wear. ~ ThriftBooks: Read More, Spend Less. Seller Inventory # G8126534044I3N00