The book illustrates with technical details to shed understanding on the major applications, including valuation, volatility recovery, dynamic portfolio replication and value-at-risk. Those who study finance, risk management, quantitative finance or similar areas, as well as practitioners who wish to learn how to valuate, hedge and manage the market risk of currency options with more advanced models and techniques will find the book of invaluable use.
The book illustrates with technical details to shed understanding on the major applications, including valuation, volatility recovery, dynamic portfolio replication and value-at-risk. Those who study finance, risk management, quantitative finance or similar areas, as well as practitioners who wish to learn how to valuate, hedge and manage the market risk of currency options with more advanced models and techniques will find the book of invaluable use.

Managing Currency Options in Financial Institutions: Vanna-Volga method
112
Managing Currency Options in Financial Institutions: Vanna-Volga method
112Paperback(Reprint)
Product Details
ISBN-13: | 9781138316935 |
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Publisher: | Taylor & Francis |
Publication date: | 06/28/2018 |
Series: | Routledge Advances in Risk Management |
Edition description: | Reprint |
Pages: | 112 |
Product dimensions: | 6.12(w) x 9.19(h) x (d) |