Riassunto
Derivatives are everywhere in the modern world. They are constantly discussed (and sometimes vilified). It is now more important than ever for participants in the banking, investment and finance sectors to fully understand the building blocks, uses and limitations of these important financial products.
Fully revised and updated to take into account the many changes the industry has seen over the last few years, Derivatives Demystified is a step-by-step guide to financial derivatives, enabling the reader to build a solid, working knowledge of key derivative products. It is based on the author's many years of experience teaching the subject to market practitioners, ranging from the most senior managers in the global banking industry to recent MBA and graduate hires. Adopting a highly accessible and structured approach, the author explains derivative products in straightforward terms and without the complex mathematics that underlie the subject. The focus is on practical applications, case studies and examples of how products are used to solve real-world problems. It follows a sequence that is designed to show that, although there are many applications of derivatives, there are only a small number of basic building blocks. The book examines how each building block is applied to different markets and to the solution of various risk management, investment and trading problems.
It features a wealth of updated and new material covering the latest developments in the derivatives markets, including the role of derivative products in the global financial crisis, settlement and risk-management, market regulation, commodity derivatives, credit derivatives, later-generation or 'exotic' options, structured products including collateralized debt obligations (CDOs), and inflation-linked and weather derivatives.
Derivatives Demystified is essential reading for anyone who operates in the financial markets or within the corporate environment requiring a solid understanding of these critical financial instruments.
"Concise, practical, and above all, extremely clearly written. It takes a subject of great importance and makes it accessible to a broad audience. This book is essential reading for anyone interested in modern business and finance."-Stephen Richardson, Principal Consultant, Glowinkowski International, former CEO of Flemings Global Banking and Executive Vice President, Bank of New York
"This book does exactly what it says on the cover. It makes the world of derivatives understandable and non-threatening to an audience which is expanding all the time as derivatives assume an ever-growing role in many aspects of management. I have no hesitation in recommending this book"-Sir George Mathewson CBE, DUniv, LLD, FRSE, FCIBS, Chairman of the Council of Economic Advisers in Scotland and former Chairman of the Royal Bank of Scotland Group plc
Informazioni sugli autori
Andrew M. Chisholm MA MBA PhD is a Visiting Fellow at the International Capital Market Association (ICMA) Centre at the University of Reading in England. He has designed, developed and taught programmes in derivatives and finance for more than 25 years. In that time, he has worked with many of the largest financial institutions around the world, teaching corporate financiers, traders, sales and marketing staff, risk managers, analysts, fund managers, operations and technology professionals. He has worked extensively on seminars at senior management level as well as training programmes designed to introduce new graduate and MBA entrants to the securities industry. He was formerly Head of Professional Development for Europe at JP Morgan
Andrew Chisholm, (London, UK) is an independent consultant providing derivatives and capital markets training services to the investment banking industry. He has taught finance for major investment banks and portfolio management firms around the world since 1986 and was formerly head of training for JP Morgan in Europe. He was co-founder of Chisholm Roth and Company Ltd., a specialist in computer simulation-based training for traders, investors and risk managers in the capital markets industry. Andrew was educated at Edinburgh and Oxford Universities and Dartmouth College in the US and also has an MBA from the Warwick University Business School.
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