Derivatives and Risk Management

  • Format:

Targeted at postgraduate students of commerce, finance and management, Derivatives and Risk Management blends theory, problems, and cases to introduce the basic concepts in lucid, engaging manner. The comprehensive coverage of fundamentals along with liberal use of examples to explain concepts makes it the perfect textbook. It will also be of use to fund managers, risk-management specialists, treasury managers, students taking the CFA examinations and anyone who wants to understand the derivatives market in India.

Sundaram Janakiramanan ? Professor ? Singapore University of Social Sciences

Sundaram Janakiramanan

Customer questions & answers

Add a review

Login to write a review.

Related products

Subscribe to Padhega India Newsletter!

Step into a world of stories, offers, and exclusive book buzz- right in your inbox! ✨

Subscribe to our newsletter today and never miss out on the magic of books, special deals, and insider updates. Let’s keep your reading journey inspired! 🌟