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Financial Engineering: A handbook for managing the risk-reward relationship (Finance and Capital Markets Series)

Financial Engineering: A handbook for managing the risk-reward relationship (Finance and Capital Markets Series)

ISBN: 9781349132706
Publisher: Palgrave Macmillan
Edition: 1st ed. 1994
Publication Date: 1994-01-01
Number of pages: 303
Any used item that originally included an accessory such as an access code, one time use worksheet, cd or dvd, or other one time use accessories may not be guaranteed to be included or valid. By purchasing this item you acknowledge the above statement.
$287.49

Financial Engineering is a text with a methodological thread, making it appropriate as a reference text. Risk management and measure and control of volatility is a major theme, but broader financial issues are also covered to provide the reader with a conceptual framework to manipulate and evaluate financial instruments. Errington's text analyses the spectrum of financial engineering including explanations of financial axioms and mathematical techniques with a summary of the instruments and worked examples of how they operate. As well as risk management, arbitrageurs are also catered for, to show how instruments can be valued, deconstructed and repackaged.

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