LIBRISTO
LIBROAMANTO
mandatory
Become part of a community of book lovers from all over the world and get access to a whole bunch of benefits. Create an account for free
0
Free delivery for purchases over 19 990 Ft
DPD point 990 Ft DPD courier 1 190 Ft GLS point 1 190 Ft Hungarian Post 1 795 Ft Hungarian Post 1 690 Ft Hungarian Post 1 690 Ft FoxPost 1 190 Ft Packeta point 1 190 Ft GLS courier 1 690 Ft

Free shipping on orders over 19,990 Ft via Packeta, Fox Post Box, and DPD Collection Point

Derivat, Risk Mgmt & Value(2nd Ed)

Language EnglishEnglish
Book Hardback
Book Derivat, Risk Mgmt & Value(2nd Ed) BELLALAH MONDHER
Libristo code: 52567060
Publishers World Scientific Publishing Company, June 2026
This book covers the fundamental concepts of financial markets and asset pricing, including hedging,... Full description
? points 509 b New New
76 164 Ft
In stock at our supplier Shipping in 14-21 days

Up to 30 days for returns


Customers also purchased


Istebna i okolice pieszo i rowerem Grabowski Krzysztof / Book Paperback
common.buy 1 688 Ft

This book covers the fundamental concepts of financial markets and asset pricing, including hedging, arbitrage, speculation across different markets, classical models for the pricing of simple and complex derivatives, mathematical foundations, and the real-time management and monitoring of derivative portfolios. It also explores topics such as financial markets and instruments, and option pricing models and theory. Written in a clear and accessible style, and amply supported by real-world examples, the book will be of interest to students, academics, and practitioners alike.

This second edition features ten new chapters dedicated to risk management in banking and insurance. The new material offers an in-depth analysis of the fundamentals of risk management; market, investment, and credit risks (corporate and retail); credit risk management policies and tools; retail lending policies; operational risk management in light of the Basel III recommendations; IFRS 9 impairments; capital management; the Internal Capital Adequacy Assessment Process (ICAAP); and the regulatory requirements for stress testing. Drawing on the author's extensive professional experience, the chapters explain not only the theory but also the policies and procedures that underpin effective risk management practice.

Actress & Polyglot
EWA KASP for
Play video
Ewa Kasp
Libristo has the largest selection of foreign-language books. That’s why I buy my books there.

About the book

Full name Derivat, Risk Mgmt & Value(2nd Ed)
Language English
Binding Book - Hardback
Date of issue 2026
Number of pages 764
EAN 9781800618718
ISBN 1800618719
Libristo code 52567060
Weight 1542
Dimensions 152 x 229 x 56
Give this book today
It's easy
1 Add to cart and choose Deliver as present at the checkout 2 We'll send you a voucher 3 The book will arrive at the recipient's address

Login

Log in to your account. Don't have a Libristo account? Create one now!

 
mandatory
mandatory

Don’t have an account? Discover the benefits of having a Libristo account!

With a Libristo account, you'll have everything under control.

Create a Libristo account