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  • Financial Risk Manager Handbook 下载

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  • 名称:Financial Risk Manager Handbook
  • 类型:危机管理
  • 大小:2.17 MB
  • 更新时间:05-02 20:39:54
  • 下载次数:4389
  • 语言:简体中文
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《Financial Risk Manager Handbook》下载简介
Contents
Prefacexix
Introductionxxi
Ch.1BondFundamentals3
Ch.2FundamentalsofProbability31
PartI:QuantitativeAnalysis1
vii
1.1DiscountingPresentandFutureValue3
1.2Price-YieldRelationship6
1.2.1Valuation6
1.2.2TaylorExpansion7
1.2.3BondPriceDerivatives.9
1.2.4InterpretingDurationandConvexity16
1.2.5PortfolioDurationandConvexity23
1.3AnswerstoChapterExamples.26
2.1CharacterizingRandomVariables.31
2.1.1UnivariateDistributionFunctions.32
2.1.2Moments33
2.2MultivariateDistributionFunctions37
2.3FunctionsofRandomVariables40
2.3.1LinearTransformationofRandomVariables41
2.3.2SumofRandomVariables.42
2.3.3PortfoliosofRandomVariables.42
2.3.4ProductofRandomVariables43
2.3.5DistributionsofTransformationsofRandomVariables44
2.4ImportantDistributionFunctions.46
2.4.1UniformDistribution46
2.4.2NormalDistribution.47
2.4.3LognormalDistribution.51
2.4.4Student抯Distribution.54
2.4.5BinomialDistribution56
2.5AnswerstoChapterExamples.57
t
Ch.3FundamentalsofStatistics63
Ch.4MonteCarloMethods83
Ch.5IntroductiontoDerivatives105
PartII:CapitalMarkets103
viii
3.1RealData63
3.1.1MeasuringReturns.64
3.1.2TimeAggregation65
3.1.3PortfolioAggregation66
3.2ParameterEstimation69
3.3RegressionAnalysis71
3.3.1BivariateRegression72
3.3.2Autoregression.74
3.3.3MultivariateRegression.74
3.3.4Example.75
3.3.5PitfallswithRegressions77
3.4AnswerstoChapterExamples.80
4.1SimulationswithOneRandomVariable83
4.1.1SimulatingMarkovProcesses84
4.1.2TheGeometricBrownianMotion84
4.1.3SimulatingYields88
4.1.4BinomialTrees.89
4.2ImplementingSimulations.93
4.2.1SimulationforVAR.93
4.2.2SimulationforDerivatives.93
4.2.3Accuracy94
4.3MultipleSourcesofRisk96
4.3.1TheCholeskyFactorization.97
4.4AnswerstoChapterExamples.99
5.1OverviewofDerivativesMarkets105
5.2ForwardContracts.107
5.2.1Definition107
5.2.2ValuingForwardContracts.110
5.2.3ValuinganOff-MarketForwardContract112
5.2.4ValuingForwardContractswithIncomePayments.113
5.3FuturesContracts117
5.3.1DefinitionsofFutures117
5.3.2ValuingFuturesContracts.119
5.4SwapContracts.119
5.5AnswerstoChapterExamples.120
CONTENTS
FinancialRiskManagerHandbookSecondEdition
Ch.6Options123
Ch.7Fixed-IncomeSecurities153
Ch.8Fixed-IncomeDerivatives187
ix
6.1OptionPayoffs.123
6.1.1BasicOptions123
6.1.2Put-CallParity126
6.1.3CombinationofOptions128
6.2ValuingOptions132
6.2.1OptionPremiums132
6.2.2EarlyExerciseofOptions134
6.2.3Black-ScholesValuation.136
6.2.4Marketvs.ModelPrices.142
6.3OtherOptionContracts.143
6.4ValuingOptionsbyNumericalMethods146
6.5AnswerstoChapterExamples.149
7.1OverviewofDebtMarkets.153
7.2Fixed-IncomeSecurities.156
7.2.1InstrumentTypes156
7.2.2MethodsofQuotation158
7.3AnalysisofFixed-IncomeSecurities160
7.3.1TheNPVApproach.160
7.3.2Duration.163
7.4SpotandForwardRates165
7.5Mortgage-BackedSecurities.170
7.5.1Description.170
7.5.2PrepaymentRisk174
7.5.3FinancialEngineeringandCMOs177
7.6AnswerstoChapterExamples.183
8.1ForwardContracts.187
8.2Futures.190
8.2.1EurodollarFutures.190
8.2.2T-bondFutures.193
8.3Swaps195
8.3.1Definitions.195
8.3.2Quotations.197
8.3.3Pricing197
8.4Options.201
8.4.1CapsandFloors.202
8.4.2Swaptions204
8.4.3Exchange-TradedOptions206
8.5AnswerstoChapterExamples.207
CONTENTS
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