A concise yet comprehensive guidebook that addresses the practical aspects of investing in derivatives.

Written for the professional market but accessible enough for individual investors, The Investor’s Guidebo...

Buy Now From Amazon

A concise yet comprehensive guidebook that addresses the practical aspects of investing in derivatives.

Written for the professional market but accessible enough for individual investors, The Investor’s Guidebook to Derivatives includes all the information needed to succeed in today’s complex derivatives market, including:

• What constitutes a “derivative instrument”
• The difference between forward and forecast prices
• Pricing and using forward contracts
• Swaps: pricing and applications
• Option vocabulary
• Pricing options—a framework
• Implementing directional and volatility strategies
• Exotic options: pricing and applications
• Options on natural occurrences: rain, snow, and wind

The Investor’s Guidebook series presents investment vehicles and strategies from both the issuers’ and the investors’ perspectives. Starting with basic concepts and then building to state-of-the-art pricing models, strategies, and tactics, these succinct handbooks will be useful for everyone from new hires through experienced professionals. Unlike most books, which are read once and sit on the shelf, professionals will refer to these books repeatedly throughout their careers.

  • Used Book in Good Condition
  • Used Book in Good Condition

Similar Products

The Investor's Guidebook to Fixed Income Investments: Bond Markets--A Handbook for Issuers and InvestorsThe Investor's Guidebook to Equities: Equity Pricing, Trading, and InvestingAll About Derivatives Second Edition (All About Series)The Investor's Guidebook to Alternative Investments: The Role of Alternative Investments in Portfolio DesignUnderstanding Options 2EDictionary of Finance and Investment Terms (Barron's Business Dictionaries)Boomerang: Travels in the New Third WorldMaking Money with Option Strategies: Powerful Hedging Ideas for the Serious Investor to Reduce Portfolio Risks