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This is a useful compendium of over 50 articles tracking the advances that underpinned the growth of the derivatives industry of the early 1990s. It includes articles on innovations in financial derivatives published in "Risk" magazine between 1992 and 1995, and information on advances in exotic options, computational techniques, VAR and capital management.
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It is a valuable resource for the derivatives expert... [it] is also an ideal coffee-table book, beautifully produced and just the thing to impress visiting clients. -- Stewart Hodges - Financial Options Research Centre, Warwick University
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Book Description Paperback. Condition: VERY GOOD. Light rubbing wear to cover, spine and page edges. Very minimal writing or notations in margins not affecting the text. Possible clean ex-library copy, with their stickers and or stamp(s). Seller Inventory # 3385754547