Commodity risk management: theory and application
Material type:
TextPublication details: New York ; London Routledge, Taylor and Francis Group 2013Description: xvii, 406ISBN: - 9780415879309
- 332.644 POI
| Item type | Current library | Collection | Call number | Status | Date due | Barcode |
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Symbiosis Institute of Business Management - Hyderabad General | Text Book | 332.644 POI (Browse shelf(Opens below)) | Available | SIBMH-B-9279 |
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| 332.64 ZEB Trading Mastermind: become a trading expert from scratch | 332.6401 GUE The Financial Mathematics of Market Liquidity | 332.642 CHA How the stock markets work : | 332.644 POI Commodity risk management: theory and application | 332.645 HUL Options, futures, and other derivatives | 332.645 HUL Options, futures, and other derivatives | 332.645 HUL Options, futures, and other derivatives |
"Commodity Risk Management goes beyond just an introductory treatment of derivative securities, dealing with more advanced topics and approaching the subject matter from a unique perspective. At its core lies the concept that commodity risk management decisions require an in-depth understanding of speculative strategies, and vice versa. The book offers readers a unified treatment of important concepts and techniques that are useful in applying derivative securities in the management of risk in commodity markets. While some of these techniques are well known and fairly common."
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