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Options, Futures, and Other Derivatives, by John C. Hull
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Bridge the gap between theory and practice.
Designed to bridge the gap between theory and practice, this introductory text on the futures and options markets is ideal for those with a limited background in mathematics.
The eighth edition has been updated and improved–featuring a new chapter on securitization and the credit crisis, and increased discussion on the way commodity prices are modeled and commodity derivatives valued.
0132777428 / 9780132777421 Options, Futures, and Other Derivatives and DerivaGem CD Package
Package consists of:
0132164949 / 9780132164948 Options, Futures, and Other Derivatives
0132165112 / 9780132165112 DerivaGem CD for Options, Futures, and Other Derivatives
- Sales Rank: #585673 in Books
- Published on: 2011
- Original language: English
- Number of items: 1
- Dimensions: 10.00" h x 1.38" w x 7.99" l, 3.40 pounds
- Binding: Hardcover
- 864 pages
About the Author
Hull, Joseph L. Rotman School of Management, University of Toronto.
Most helpful customer reviews
9 of 9 people found the following review helpful.
Buyer beware - Indian Version, not International Version
By Synapsis85
Technically, this is the same content as the American version, but it's not. It's the India version, not a true "international" version. To me, this is mislabeled. An international version is the American version, in paperback, and using the world business currency (US dollars).
If you can put up with everything being in Indian Rupee's, the concepts/strategies will still be the same. For me, I bought it for a class thinking it was just a paperback version of the book. This is incorrect. The page numbers and problems are all different.
TL;DR - If you're an American trying to save some money on an expensive text book, look elsewhere.
2 of 2 people found the following review helpful.
Great book for class or overall knowledge on this subject.
By Amazon Customer
This book is extremely knowledgable, in fact my professor teaches every lesson out of it. It is very detailed and as helpful as it gets for a topic this detailed and hard. It has plenty of practice problems with a solutions book that can be bought on Amazon or found online if you search hard enough. I decided to rent this book as it is pretty costly if you decide to buy it, some $300..
2 of 2 people found the following review helpful.
A Must Have for any Risk Manager's Library
By Dr. S. P. GREINER
One cannot fully understand the quantitative aspects of risk management without having this book in your reference library. It's thorough, easy to read and has all the necessary mathematics for reproduce the risk measures, pricing and valuation for most exchange traded securities out there. I fails only in the introduction to cover the requisite history of risk management but that's not so important for the work. I particuarly like the Merton model descriptions for pricing corporate bonds, the options pricing methods because it makes binomial pricing for options really easy to program yourself. This is one book you need in your library and also one you must read too.
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