This package consists solely of the Introduction to Derivatives and Risk Management 10th Edition TestBank, Solutions Manual, PowerPoint Lecture Slides, data files, and technical notes. Also second city case study and its solutions are included. Please note that the eBook can be purchased separately.
About the eBook
The 10th Edition of the market-leading “Introduction to Derivatives and Risk Management” effectively pairs real-world business scenarios with accessible technical mathematics. This comprehensive resource integrates institutional concepts, theoretical frameworks, and practical applications, ensuring that students gain a robust understanding of how derivatives mitigate the risks associated with financial decisions. The ebook provides extensive insights into options, futures, forwards, swaps, and risk management while offering a well-rounded introduction to trading, pricing, and strategic approaches. New “Taking Risk in Life” features demonstrate the practical implications of risk management in actual financial contexts. Additionally, the financial data presented in this edition is updated to reflect the latest developments in the derivatives market—one of the most dynamic sectors in finance.
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NOTE: The product only includes Introduction to Derivatives and Risk Management 10th Edition TestBank, Solutions Manual, PowerPoint Lecture Slides, data files, and technical notes. No ebook or access codes are included.





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