Financial Engineering & Risk Management Workshop
Wiley Series in Financial Engineering
Wiley Frontiers in Finance Series
Risk Management and Analysis : Measuring and Modelling Financial Risk
by Carol Alexander (Editor), Foreword by John C. Hull / Published 1999  (Contents

FinMath.com

Chicago Financial Engineering & Risk Management Workshop
Chicago FinMath Seminar
FinMath Bookshelf1999

Frank J. Fabozzi Library
IRWIN Professional Library, IRWIN Library of Investment & Finance, McGraw-Hill Professional Books
Wiley Frontiers in Finance Series, Wiley Series in Financial Engineering
Wiley Finance Editions, Wiley Trading Advantage Series, Wiley Trader's Exchange
Trading Bookshelf
PhysMath Bookshelf
Risk Books



Interest-Rate Option Models : Understanding, Analyzing and Using Models for Exotic Interest-Rate Options
by Riccardo Rebonato / Published 1998 (Contents)

Volatility and Correlation in the Pricing of Equity, FX and Interest-Rate Options

by Riccardo Rebonato / Published October 1999

Beyond Value at Risk : The New Science of Risk Management
by Kevin Dowd / Published 1998


Credit Derivatives : A Guide to Instruments and Applications
by Janet M. Tavakoli / Published 1998

Currency Derivatives : Pricing Theory, Exotic Options, and Hedging Applications
by David F. Derosa (Editor) / Published 1998

Options on Foreign Exchange
by David F. Derosa /  Revised Edition Published February 2000


Derivatives for Decision Makers : Strategic Management Issues
by George Crawford, Bidyut C. Sen / Published 1996


Derivatives Demystified : Using Structured Financial Products
by John C. Braddock / Published 1997


Derivatives Handbook : Risk Management and Control
by Robert J. Schwartz (Editor), Clifford W. Smith / Published 1997

Dynamic Hedging : Managing Vanilla and Exotic Options
by Nassim Taleb
cover
Financial Innovation
by Philip Molyneux, Nidal Shamroukh / Published May 1999

Implementing Derivatives Models : Numerical Methods
by Les Clewlow, Chris Strickland / Published 1998


Implementing Value at Risk
by Philip W. Best / Published 1999


Risk Management and Analysis : Measuring and Modelling Financial Risk
by Carol Alexander (Editor), Foreword by John C. Hull / Published 1999


Risk Management and Analysis : New Markets & Products
by Carol Alexander (Editor), Foreword by John C. Hull / Published 1998


The Handbook of Credit Derivatives
by Jack Clark Francis, Joyce Frost, J. Gregg Whittaker / Published 1999


The Handbook of Equity Derivatives
by Jack Clark Francis (Editor), William W. Toy (Editor), J. Gregg Whittaker / Revised Edition Published 1999


Derivatives : The Theory and Practice of Financial Engineering
by Paul Wilmott / Hardcover / Published 1998


The Equity Risk Premium : The Long Run Future of the Stock Market
by Bradford Cornell / Published May 1999


Advanced Fixed-Income Valuation Tools
by Narasimhan Jegadeesh, Bruce Tuckman / Published December1999


Fixed Income Securities : Tools for Today's Markets
by Bruce Tuckman / Published 1996


Fixed Income Analysis for the Global Financial Market : Money Market, Foreign Exchange, and Derivative Securities
by Giorgio S. Questa / Published May 1999


Option Valuation & Hedging : A Trader's Perspective
by Marti G. Subrahmanyam, Sanjiv Das, Ragu Sundaran / Published 1999 Trading Bookshelf
Wiley Trader's Exchange


Derivative Valuation & Hedging a Trade : A Trader's Perspective
by Marti G. Subrahmanyam, Sanjiv Das, Ragu Sundaran / Published 2000 Trading Bookshelf
Wiley Trader's Exchange


Options, Futures, and Exotic Derivatives : Theory, Application and Practice
by E. Briys (Editor) / Published March 1998


Investment Management
by Peter L. Bernstein (Editor), Aswath Damodaran (Editor) / Published 1998


Applied Corporate Finance
by Aswath Damodaran / Published March 1999


Investment Valuation : Tools and Techniques for Determining the Value of Any Asset
by Aswath Damodaran

Buying and Selling Volatility
by Kevin B. Connolly / Published 1997


Credit Derivatives : Trading & Management of Credit & Default Risk
by Satyajit Das (Editor) / Published March 1998

Export-Import Financing
by Harry M. Venedikian, Gerald A. Warfield  / Published 1996

Financial Statement Analysis: A Practitioner's Guide
by Martin S. Fridson /  Published 1996

Fundamental Analysis Worldwide : Investing and Managing Money in International Capital Markets : Financial Statement Analysis
by Haksu Kim / Published 1995 Wiley Finance Editions

International M&A, Joint Ventures, and Beyond : Doing the Deal
by David J. Bendaniel, Arthur Rosenbloom / Published October 1997

Investment Timing and the Business Cycle
by Jon Gregory Taylor / Published November 1997

M&A : A Practical Guide to Doing the Deal
by Jeffrey C. Hooke / Published November 1996

Managing Credit Risk : The Next Great Financial Challenge
by John B. Caouette, et al / Hardcover / Published October 1998

Managing Derivative Risks : The Use and Abuse of Leverage
by Lillian Chew / Published July 1996

New Dimensions in Investor Relations : Competing for Capital in the 21st Century
by Bruce W. Marcus, Sherwood Lee Wallace / Published October 1997

The New Financial Instruments
by Julian Walmsley / 2nd Edition Published February 1998

Style Investing : Unique Insight into Equity Management
by Richard Bernstein / Published May 1995

Using Economic Indicators to Improve Investment Analysis
by Evelina M. Tainer / 2nd Edition Published October 1998

Valuation : Measuring and Managing the Value of Companies
by Tom Copeland, Jack Murrin, Tim Koller / 2nd Edition Published August 1994

Valuation : Measuring and Managing the Value of Companies
by Tom Copeland, Jack Murrin, Tim Koller / 2nd Edition Published 1994

Valuation : Measuring and Managing the Value of Companies (***disk only edition***)
by Thomas E. Copeland, Jack Murrin, Tim Koller / Software / Published 1994

Credit Risk Measurement : New Approaches to Value-At-Risk and Other Paradigms
by Anthony Saunders /  Published September 1999

The Independent Fiduciary : Investing for Pension Funds and Endowment Funds
by Russell L. Olson / Published October 1999


Relative Dividend Yield Common Stock Investing for Income and Appreciation : Common Stock Investing for Income and Appreciation
by Anthony E. Spare / Hardcover / 2nd Edition Published 1999

cover



Send your comments and suggestions to  Alexander Adamchuk   alex@finmath.com

FinMath.com
FinMath Bookshelf1999
Chicago Financial Engineering & Risk Management Workshop
Chicago FinMath Seminar
Wiley Finance Editions
Wiley Trading Advantage Series
Wiley Trader's Exchange
Trading Bookshelf
Frank J. Fabozzi Library
IRWIN Professional Library
IRWIN Library of Investment & Finance
Risk Books



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