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Financial Derivatives and Risk Management

Authors
  • Dr Nagavani Kagallu
    Prof. Sudharani.M
    Dr.N.Malini
    Mrs. Sneha Rajesh L

  • ISBN: 978-93-47785-50-4 | 2026

MRP: ₹1126

₹1250 (Inclusive of all taxes)
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📘 Summary

Financial Derivatives and Risk Management: Concepts, Strategies and Applications explains instruments like futures, options, swaps, and forwards, and their role in managing financial risk. It covers pricing models, hedging strategies, speculation, arbitrage, and portfolio protection. The text connects theory with practical applications across markets, helping readers understand volatility, risk measurement, and informed decision-making.

Product Details

  • Publisher: Pencil Bitz Publications
  • Edition: 1st Edition
  • Language: English
  • Binding: paperback
  • Pages:219
  • Dimensions: 24 x 18 x 1.5 cm
  • Weight: 320g
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