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Risk Management and Financial Derivatives: A Guide to the Mathematics
 
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Risk Management and Financial Derivatives: A Guide to the Mathematics [Hardcover]

Satyajit Das (Editor)
4.3 out of 5 stars  See all reviews (3 customer reviews)


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Book Description

Irwin Library of Investment & Finance March 1, 1998
Risk Management and Financial Derivatives: A Guide to the Mathematics meets the demand for a simple, nontechnical explanation of the methodology of risk management and financial derivatives. Risk Management and Financial Derivatives provides clear, concise explanations of the mathematics behind today's complex financial risk management topics. An ideal introduction for those new to the subject, it will also serve as an indispensable reference for those already experienced in the field.

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Editorial Reviews

About the Author

SATYAJIT DAS is a leading international specialist in the area of financial derivatives and treasury management. He has presented seminars on financial derivatives and treasury management/corporate finance in Europe, North America, Asia and Australia. He acts as a consultant to financial institutions and corporations on derivative instruments, risk management and treasury/financial management issues. --This text refers to an alternate Hardcover edition.

Product Details

  • Hardcover: 832 pages
  • Publisher: McGraw-Hill Companies (March 1, 1998)
  • Language: English
  • ISBN-10: 0070153787
  • ISBN-13: 978-0070153783
  • Product Dimensions: 9.1 x 6.1 x 2.4 inches
  • Shipping Weight: 2.7 pounds
  • Average Customer Review: 4.3 out of 5 stars  See all reviews (3 customer reviews)
  • Amazon Best Sellers Rank: #2,450,920 in Books (See Top 100 in Books)

More About the Author

Satyajit Das is an internationally respected expert in finance, with over 30 years' experience. He worked for the "sell side" (banks such as Citicorp Investment Bank and Merrill Lynch), the "buy side" (Treasurer of the TNT Group) and acted as a consultant advising banks, investors, corporations and central banks throughout the world. He has been within touching distance of many of the pivotal events in finance during his long career.

Das presciently anticipated many aspects of the Global Financial Crisis in his 2006 book Traders, Guns & Money: Knowns and Unknowns in the Dazzling World of Derivatives In a speech that year - The Coming Credit Crash - he argued that: "an informed analysis of the structured credit markets shows that risk is not better spread but more leveraged and (arguably) more concentrated amongst hedge funds and a small group of dealers. This does not improve the overall stability and security of the financial system but exposes it to increased risk of a "crash" during a credit downturn." He has continued to be a respected commentator on developments in the crisis, accurately anticipating many subsequent phases.

He was featured in Charles Ferguson's 2010 Oscar winning documentary Inside Job and a 2009 BBC TV documentary - Tricks with Risk.

Das is the author of many highly regarded books on derivatives and risk management, which are regarded as standard reference works for professional traders. In 2006, he published the international best seller Traders, Guns & Money, a satirical insider's account of derivatives trading. The Financial Times described it as explaining "not only the high-minded theory behind the business and its various products but the sometimes sordid reality of the industry".

His latest book is Extreme Money: The Masters of the Universe and the Cult of Risk (2011) described by Nouriel Roubini as: "A true insider's devastating analysis of the financial alchemy of the last 30 years and its destructive consequences. With his intimate first-hand knowledge, Das takes a knife to global finance and financiers to reveal its inner workings without fear or favor."

He appears regularly in the media in the US, Canada, UK, Australian, New Zealand, India and South Africa. His opinion pieces appear in prestigious publications throughout the world including the Financial Times. His blogs can be found on a number of on-line financial sites, including www.wilmott.com, www.roubini.com, www.minyanville.com, www.eurointelligence.com, www.nakedcapitalism.com and www.prudentbear.com.

 

Customer Reviews

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Average Customer Review
4.3 out of 5 stars (3 customer reviews)
 
 
 
 
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Most Helpful Customer Reviews

23 of 24 people found the following review helpful:
5.0 out of 5 stars Excellent reference for financial derivatives, March 27, 2000
This review is from: Risk Management and Financial Derivatives: A Guide to the Mathematics (Hardcover)
I have read this book for the class of modeling financial derivatives and I was very impressed by the presentation of the theories of financial derivatives and risk management. The book covers derivative pricing in a very detailed form. THe best thing about this book is the presentation of the problems(mathematical) throughout the book, either through graphs, spreadsheet models, etc. It is not pure theory book, but it also contains many applications which encompas real finanical world. Such presentation enables the reader to easier comprehend the contents of the subject. Overall, the book is very very good for a beginner in finacial derivatives fiels, but it is also a great contribution to one more experienced in the field. Greatest emphasis was put on interest rate models, option models, volatility and risk management techniques.
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6 of 6 people found the following review helpful:
4.0 out of 5 stars A (almost) complete reference, November 5, 2001
By 
Heiko Barschneider (Sao Paulo, SP Brazil) - See all my reviews
This review is from: Risk Management and Financial Derivatives: A Guide to the Mathematics (Hardcover)
I bought the book as a practical reference in risk management/ applied financial engineering. I think the book accomplishes this goal.

It describes concepts and techniques in a clear, logical way and, most important, gives clearly outlined numerical examples, which help to implement the models. If all material would be written that way one didn't have to buy several introductory books and save a lot of money. This is especially true for professionals who want to implement things in a reasonable time without loosing time with (generally) confusing and incomplete derivations that have to be figured out afterwards through a painful process.

I must say though, that the work lacks to present some important concepts and techniques in interest rate risk management. As in many cases, fixed income applications were almost omitted. A treatment of PCA applications (hedging, simulation) would be very welcome and a more complete description with examples of interest rate models with implementations would complete this work.

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4.0 out of 5 stars An excellent reference, October 18, 2007
By 
A. Paul "Kozhipatt" (New York, New York United States) - See all my reviews
(REAL NAME)   
This review is from: Risk Management and Financial Derivatives: A Guide to the Mathematics (Hardcover)
Satyajit has written an extensive account of derivatives their building blocks, the risk they entail and the utilization of financial models to explain their use. The easy to follow tables and numeric examples are helpful for any early entrant into the domain of derivatives. Good as a textbook and to refer.
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