机读格式显示(MARC)
- 000 02857cam a2200745 i 4500
- 008 121123s2016 cc ab b 001 0 eng d
- 020 __ |a 9787307125247 |c CNY90.00
- 040 __ |a PUL |c PULbeng |d JLU |e rda
- 050 _4 |a HG176.7 |b .G35
- 099 __ |a CAL 022016019090
- 100 1_ |a Galitz, Lawrence, |e author.
- 245 10 |a Financial times handbook of financial engineering : |b using derivatives to manage risk / |c Lawrence Galitz = 金融工程 : 运用衍生工具管理风险 / [英]洛伦兹 · 格利茨著, 彭红枫译.
- 246 31 |a 金融工程: |b 运用衍生工具管理风险
- 264 _1 |a Wuhan : |b Wuhan University Press , |c 2016.
- 300 __ |a 705 pages : |b ill., map ; |c 27 cm.
- 336 __ |a text |2 rdacontent
- 337 __ |a unmediated |2 rdamedia
- 338 __ |a volume |2 rdacarrier
- 504 __ |a Includes bibliographical references and index.
- 505 0_ |a About the author -- Acknowledgments -- Tools -- Introduction -- The cash markets -- Forward rates -- Fras -- Financial futures -- Short-term interest rate futures -- Bond and stock index futures -- Swaps -- Pricing and valuing swaps -- Options / basics and pricing -- Opions / volatility and the Greeks -- Options / from building blocks to portfolios -- Options / interest rate and exotic options -- 1development of the credit derivatives market -- CDS pricing and credit indices -- Techniques -- Applications for financial engineering -- Managing currency risk -- Managing interest-rate risk using fras, rutures and swaps -- Managing interest-rate risk / using options and option-basedinstruments -- Managing equity risk -- Managing commodity risk -- Managing credit risk -- Structured products.
- 534 __ |p Reprint. Originally published: |c Harlow : Pearson ,c2013. |z 9780273742401.
- 650 _0 |a Financial engineering.
- 700 1_ |a Peng, Hongfeng |9 (彭红枫), |e translator.