March 6, 2007 (Press Release) --
These two companion volumes offer a comprehensive guide to the ‘new maths’, analysing and explaining the behaviour of the markets and providing a practical guide to the key mathematical models underlying trading and risk management.
Volume I - Understanding the Behaviour of Markets - brings together all foreign exchange and derivatives issues. Illustrated with numerous examples, the book examines: forex markets and patterns in forex trading; intraday patterns and high frequency data; business time, intrinsic time and micro-seasonal fluctuations; derivatives, in forex and their business opportunities; the management of derivatives risk; currency futures, options and forwards; swaps, swaptions and exotics; risk and internal control issues.
For more information kindly visit
http://www.bharatbook.com/general/How-to-Understand-and-Use-Mathematics-for-Derivatives-Vol1.html
Volume I - Understanding the Behaviour of Markets - brings together all foreign exchange and derivatives issues. Illustrated with numerous examples, the book examines: forex markets and patterns in forex trading; intraday patterns and high frequency data; business time, intrinsic time and micro-seasonal fluctuations; derivatives, in forex and their business opportunities; the management of derivatives risk; currency futures, options and forwards; swaps, swaptions and exotics; risk and internal control issues.
For more information kindly visit
http://www.bharatbook.com/general/How-to-Understand-and-Use-Mathematics-for-Derivatives-Vol1.html

Offer a comprehensive guide to the ‘new maths’, analysing and explaining the behaviour of the markets and providing a practical guide to the key mathematical models underlying trading and risk managem
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