Derivatives markets

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  • (BQ) Part 1 book "Derivatives markets" has contents: Introduction to derivatives; an introduction to forwards and options; insurance, collars, and other strategies; introduction to risk management; financial forwards and futures; commodity forwards and futures,... and other contents.

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  • (BQ) Part 2 book "Derivatives markets" has contents: Financial Engineering and security design, corporate applications, the lognormal distribution, monte carlo valuation, brownian motion and itô’s lemma, the black scholes merton equation, interest rate and bond derivatives,... forwards and futures,...

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  • Lecture Financial markets - Lecture 22: Other derivative markets include all of the following content: Swaps, Swaptions, macro securities and the American stock exchange. Inviting you refer.

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  • (BQ) Part 1 book "Derivatives markets" has contents: Introduction to derivatives; an introduction to forwards and options; insurance, collars, and other strategies; introduction to risk management; financial forwards and futures; commodity forwards and futures; interest rate forwards and futures,....and other contents.

    pdf473p bautroibinhyen30 15-06-2017 1 1   Download

  • (BQ) Part 2 book "Derivatives markets" has contents: Exotic options; financial engineering and security design; corporate corporate; real options; monte carlo valuation; the lognormal distribution; the black scholes equation; interest rate models; value at risk,...and other contents.

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  • (BQ) Part 2 book "Financial markets and institutions" has contents: Financial futures markets, option markets, swap markets, foreign exchange derivative markets, foreign exchange derivative markets, bank management, bank performance, mutual fund operations,...and other contents.

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  • Chapter 11 - Derivatives markets. This chapter describes the nature of the most important markets for financial derivatives. It starts with forward and futures markets, then discusses the swaps and options markets. It discusses how markets work, what financial instruments are traded in each, who the major participants are, and how the markets are regulated.

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  • (BQ) Part 1 book "An introduction to derivatives and risk management" has contents: Structure of derivatives markets, principles of option pricing, option pricing models - the binomial model, option pricing models - the black scholes merton model, basic option strategies, advanced option strategies.

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  • Nordic Fixed Income Derivatives are traded and cleared in a unique market structure. Trades in fixed income derivatives are reached through bilateral negotiations between buyers and sellers, and reported to NASDAQ OMX Derivatives Markets for central counterparty clearing. NASDAQ OMX Derivatives Markets becomes the counterparty to both the buyer and seller, i.e. central counterparty (CCP) clearing. This structure combines the advantages of a cleared market, with the flexibility and the secured liquidity of a market maker driven market....

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  • The credit derivatives market is booming and, for the first time, expanding into the banking sector which previously has had very little exposure to quantitative modeling. This phenomenon has forced a large number of professionals to confront this issue for the first time. Credit Derivatives Pricing Models provides an extremely comprehensive overview of the most current areas in credit risk modeling as applied to the pricing of credit derivatives.

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  • A financial market is a market in which people and entities can trade financial securities, commodities, and other fungible items of value at low transaction costsand at prices that reflect supply and demand. Securities include stocks and bonds, and commodities include precious metals or agricultural goods.

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  • Tham khảo tài liệu 'triennial central bank survey: foreign exchange and derivatives market activity in april 2010', tài chính - ngân hàng, ngân hàng - tín dụng phục vụ nhu cầu học tập, nghiên cứu và làm việc hiệu quả

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  • (BQ) Part 2 book "Financial markets and institutions" has contents: Foreign exchange markets; exchange rate risk, derivatives markets and speculation, international capital markets, government borrowing and financial markets, the regulation of financial markets.

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  • Basics of Corporate Finance serves as an introductory course for students beginning their study of finance and financial markets. The ideas and calculations presented in this workbook serve as the foundation for continued study in the areas related to corporate finance and the capital and derivative markets. The purpose of this course is to help the student build a working vocabulary of the financial world and to understand the basic computations used by analysts working in the corporate finance field.

    pdf417p hungntdotcr 22-03-2010 274 160   Download

  • Tài liệu môn Thị trường tài chính và các định chế tài chính- Chapters " Foreign Exchange Derivative markets" dành cho các bạn sinh viên, học viên đang theo học ngành kinh tế, chuyên ngành tài chính: tài chính doanh nghiệp, taì chính ngân hàng, tài chính tiền tệ,...

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  • Tài liệu mônThị trường tài chính và các định chế tài chính- Chapters " Interest Rate Derivative Markets" dành cho các bạn sinh viên, học viên đang theo học ngành kinh tế, chuyên ngành tài chính: tài chính doanh nghiệp, taì chính ngân hàng, tài chính tiền tệ,...

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  • Policy makers (executives and government leaders), educators, and students alike have a basic obligation to take advantage of the opportunities to learn and transmit the knowledge of the world. International experiences are not luxuries.Without the comprehension of global issues, education is not complete. International marketing is not a subset or special case of domestic marketing. While a person should benefit from an observation of marketing in another culture, the greater benefit is derived from one’s better understanding of oneself in the process.

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  • World Map Financial Derivatives Financial derivatives are financial instruments that are linked to a specific financial instrument or indicator or commodity, and through which specific financial risks can be traded in financial markets in their own right. Transactions in financial derivatives should be treated as separate transactions rather than as integral parts of the value of underlying transactions to which they may be linked. The value of a financial derivative derives from the price of an underlying item, such as an asset or index.

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  • The money market is traditionally defined as the market for financial assets that have original maturities of one year or less. In essence, it is the market for short-term debt instruments. Financial assets traded in this market include such instruments as U.S. Treasury bills, commercial paper, some medium-term notes, bankers acceptances, federal agency discount paper, most certificates of deposit, repurchase agreements, floating-rate agreements, and federal funds.

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  • The CAPM rattled investment professionals in the 1960s and its commanding importance still reverberates today." --Dow Jones Asset Management. Nearly 30 years ago, PORTFOLIO THEORY AND CAPITAL MARKETS laid the groundwork for such investment standards as modern portfolio theory, derivatives pricing and investment, and equity index funds, among others.

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