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TAIL RISK HEDGING

rigorous books ever written on tail risk hedging, he lays out a systematic approach to protecting portfolios from, and potentially benefiting from;

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Option Strategy Hedging & Risk Management

Option Strategy Hedging & Risk Management is een boek van Brian Johnson;

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Hedging Demystified

This primer on hedging describes seven types of financial risk that the proper use of futures, options, and swaps will mitigate;

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Stochastic Finance

derivatives, American options, superhedging, and hedging strategies with minimal shortfall risk. This fourth, newly revised edition contains more;

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Accounting for Risk, Hedging and Complex Contracts

for transactions involving these instruments, especially hedging activities. Accounting for Risk, Hedging and Complex Contracts addresses the;

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Energy Hedging in Asia

risk to energy companies. In the light of these market changes, interest in energy risk management has grown substantially and is becoming a;

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Energy Hedging in Asia

risk to energy companies. In the light of these market changes, interest in energy risk management has grown substantially and is becoming a;

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Risk Is an Asset

better solution. And that innovation put them on a path to invent a groundbreaking approach to hedging. Risk Is an Asset tells the story;

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Fuel Hedging & Risk Management

A hands-on guide to navigating the new fuel markets Fuel Hedging and Risk Management: Strategies for Airlines, Shippers and Other Consumers;

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The Greeks and Hedging Explained

A practical guide to basic and intermediate hedging techniques for traders, structerers and risk management quants. This book fills a gap;

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Valuation and Hedging in Insurance

also studies in great details the hedging strategies allowing to mitigate the risk of such surrender options. In the second part, the author;

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Fixed-Income Securities

Dynamic methods for interest rate risk pricing and hedging. Fixed-Income Securities provides a survey of modern methods for pricing and;

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Hedging Commodities

convey the necessary skills to allow business and risk management teams to develop proper hedging mechanisms and apply them in practice.;

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Hedging Derivatives

in incomplete markets. Mean-variance hedging under the risk-neutral measure is applied in the framework of exponential Levy processes and for;

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The Risk Management Process

integrate risk management with corporate business strategy-not just on hedging practices-The Risk Management Process is the first financial risk;

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Hedging Currency Exposures

provides practical examples of transaction, translation, and economic risk and shows how a hedging strategy can be arrived at. The hedging strategy;

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Interest Rate Risk in the Banking Book - A Best Practice Guide to Management and Hedging

Introduces practical approaches for optimizing management and hedging of Interest Rate Risk in the Banking Book (IRRBB) driven by fast;

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Energy Trading & Risk Management

Energy Trading and Risk Management field. This is the first trading, hedging and risk management book for commodity and energy markets that truly;

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Microeconomic Risk Management and Macroeconomic Stability

. In the lit- ature this approach to hedging is labeled risk reduction concept. Risk reduction will be achieved if spot and futures prices move;

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The Second Leg Down

Cut risk and generate profit even after the market drops The Second Leg Down offers practical approaches to profiting after a market event;

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Stochastic Finance

derivatives, American options, superhedging, and hedging strategies with minimal shortfall risk. This third revised and extended edition now;

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Financial Hedging

Financial hedging refers to taking out investments in order to reduce or cancel the risk in another investment. Its purpose is to minimise;

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Accounting For Derivatives

includes new chapters on hedging inflation risk and stock options, with new cases on special hedging situations including hedging components;

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Convertible Arbitrage

securities-generally convertible bonds-and hedging a portion of the equity risk by selling short the underlying common stock. This increasingly;

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Stochastic Finance

introduction to equilibrium analysis, and monetary measures of risk. In the second part, the idea of dynamic hedging of contingent claims is developed;

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Beyond Value at Risk

Beyond Value at Risk The New Science of Risk Management A Comprehensive Guide to Value at Risk and Risk Management Risk management and;

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Currency Risk Management in US Multinational Corporations

hedging strategies are rather scant. Moreover, several questions with regards to firms' risk management activities remain unanswered. This book;

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