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Risk management in exotic derivatives trading [推广有奖]

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楼主
martinnyj 发表于 2017-9-12 14:20:17 |AI写论文

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Risk management in exotic derivatives trading - Lessons from the recent past
09/01/2015
By Jérôme FRUGIER (BNP Paribas) Risk management in exotic derivatives trading.pdf (2.56 MB, 需要: 1 个论坛币)





Table of contents
Risk management in exotic derivatives trading ................................................................................. 17
Abstract ............................................................................................................................................ 17
1. Introduction .............................................................................................................................. 18
2. An accumulation of risky products ............................................................................................ 18
3. When risk comes true - A sudden and unexpected inversion of the EUR curve .......................... 24
4. The consequences - A basic illustration ..................................................................................... 30
5. A problematic shared with other asset classes - Focus on commodities ...................................... 31
6. It could have been avoided... ..................................................................................................... 34
7. Efficient risk management techniques ....................................................................................... 36
A. Bending strategies ............................................................................................................ 36
B. Examples of bending strategies ........................................................................................ 37
C. Manage risk concentration and limits ............................................................................... 38
1. Monitoring observation dates and distance to barrier ................................................... 38
2. Monitoring gamma by barrier strike ............................................................................. 39
D. Stress testing .................................................................................................................... 40
8. Conclusion ................................................................................................................................ 41
Bibliography .................................................................................................................................... 42


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关键词:derivatives Derivative Management Managemen Trading

沙发
采花大盗123(未真实交易用户) 发表于 2017-9-12 14:38:50 来自手机
貌似很不错哦

藤椅
fin9845cl(真实交易用户) 发表于 2017-9-13 09:01:21
谢谢楼主的分享

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