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[下载]Nassim Nicholas Taleb-Dynamic Hedging

[下载]Nassim Nicholas Taleb-Dynamic Hedging

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Title:DynamicHedging:ManagingVanillaandExoticOptionsAuthor:NassimNicholasTalebFormat:PDFLanguage:EnglishEdition:FirstType:BookDescription:EditorialReviewsProductDescriptionDestinedtobecomeamarketclass ...
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Title: Dynamic Hedging: Managing Vanilla and Exotic Options
Author: Nassim Nicholas Taleb
Format: PDF
Language: English
Edition: First
Type: Book
Description:

Editorial Reviews

Product Description
Destined to become a market classic, Dynamic Hedging is the only practical reference in exotic options hedgingand arbitrage for professional traders and money managers

Watch the professionals. From central banks to brokerages to multinationals, institutional investors are flocking to a new generation of exotic and complex options contracts and derivatives. But the promise of ever larger profits also creates the potential for catastrophic trading losses. Now more than ever, the key to trading derivatives lies in implementing preventive risk management techniques that plan for and avoid these appalling downturns. Unlike other books that offer risk management for corporate treasurers, Dynamic Hedging targets the real-world needs of professional traders and money managers. Written by a leading options trader and derivatives risk advisor to global banks and exchanges, this book provides a practical, real-world methodology for monitoring and managing all the risks associated with portfolio management.

Nassim Nicholas Taleb is the founder of Empirica Capital LLC, a hedge fund operator, and a fellow at the Courant Institute of Mathematical Sciences of New York University. He has held a variety of senior derivative trading positions in New York and London and worked as an independent floor trader in Chicago. Dr. Taleb was inducted in February 2001 in the Derivatives Strategy Hall of Fame. He received an MBA from the Wharton School and a Ph.D. from University Paris-Dauphine.

From the Publisher
Written by a leading options trader and derivatives risk advisor to global banks and exchanges, this book provides a practical, real-world methodology for monitoring and managing all the risks associated with portfolio management. Fills a big gap in investment literature--the only book to share complex options trading strategies and advanced risk management methods with trading professionals.


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