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Showing 151-176 of 176 items.

Robert Jarrow – Derivate Securities (The Complete Investors Guide)

Robert Jarrow - Derivate Securities (The Complete Investors Guide)Skilled investors know that to play in today's high-risk global-investment environment, they must maximize return while hedging risk. To do this successfully, investors must understand the intricacies and...


Wallstreetprep – Crash Course in Bonds and Debt

Wall Street Prep – Crash Course in Bonds A step-by-step course designed for those pursuing a career in fixed income research, investments, sales, and trading or investment banking (debt capital markets). This course will teach you...


Mike McMahon – Opting for Options Trading

Mike McMahon - Opting for Options TradingWhat is a Stock Option?A stock option gives an investor the right, but not the obligation, to buy or sell a stock at an agreed upon price and date. There are...


Peter James – Option Theory

Peter James – Option TheoryA unified development of the subject, presenting the theory of options in each of the different forms and stressing the equivalence between each of the methodologies. * Demystifies some of the more...


Matthew Tagliani – The Practical Guide to Wall Street

The Practical Guide to Wall Street is an indispensable resource for anyone who aspires to a front-office sales or trading position on Wall Street and an essential desk reference for market practitioners and those who interact with...


Benjamin Van Vliet – Building Automated Trading Systems C++.NET

Over the next few years, the proprietary trading and hedge fund industries will migrate largely to automated trade selection and execution systems. Indeed, this is already happening. While several finance books provide C++ code for pricing...


Carol Alexander – Market Risk Analysis Vol. IV. Value-At-Risk Models

Carol Alexander – Market Risk Analysis Vol. IV. Value-At-Risk Models Written by leading market risk academic, Professor Carol Alexander, Value-at-Risk Models forms part four of theMarket Risk Analysis four volume set. Building on the three previous volumes...


Thomas Schneeweis – The New Science of Asset Allocation

A feasible asset allocation framework for the post 2008 financial world Asset allocation has long been a cornerstone of prudent investment management; however, traditional allocation plans failed investors miserably in 2008. Asset allocation still remains an...


Dave Caplan – How to Use Option Volatility to Turn Trading Odds in Your Favor

Dave Caplan – How to Use Option Volatility to Turn Trading Odds in Your Favor You can use options to trade successfully in any market if you adopt strategies used by market professionals. Get a greater...


Merrill Lynch – Credit Derivatives Handbook 2006 (Vol. I & II)

Merrill Lynch – Credit Derivatives Handbook 2006 (Vol. I & II) Merrill Lynch, “Credit Derivatives Handbook, Vol. 1: A Guide to Single-Name and Index CDS Products” Merrill Lynch | 2006 | ISBN: N/A | 118 pages...


Robert Elliott – Mathematics of Financial Markets

This book presents the mathematics that underpins pricing models for derivative securities in modern financial markets, such as options, futures and swaps. This new edition adds substantial material from current areas of active research, such as...


Larry Connors – Options Trading and Volatility Trading

Larry Connors – Options Trading and Volatility Trading 97% of options traders lose money. Professional trader Larry Connors shares his best options trading strategies with you to help you avoid being just another losing trader. By...


Joseph Benning – Trading Strategies for Capital Markets

In order to succeed in the capital markets, professional traders and investors must understand that markets aren’t mathematical abstractions, but dynamic, real-time reflectors of the world we live in. You need to know how the capital...


Antulio Bomfim – Understanding Credit Derivatives & Related Instruments

Antulio Bomfim – Understanding Credit Derivatives & Related Instruments Series: Academic Press Advanced Finance PDF: 368 pages Publisher: Academic Press; 1 edition (December 20, 2004) Language: English ISBN-10: 9780121082659 ISBN-13: 978-0121082659 ASIN: 0121082652 The global credit...


John Y. Cambell & Luis M. Viceira – Strategic Asset Allocation

This volume provides a scientific foundation for the advice offered by financial planners to long-term investors. Based upon statistics on asset return behavior and assumed investor objectives, the authors derive optimal portfolio rules that investors can...


Options University & Ron Ianieri – Options University Mastery Series

Options University – Ron Ianieri – Options University Mastery Series Module 1: An education in Option Theory must be approached in the same way an office building is built. The first thing is to build a...


Robert Kast – Economics and Finance of Risk and of the Future

This book uses real-world examples to show how individual and collective risks can be blended and treated in a reliable decision-making framework that draws its inspiration from decision theory and market based mechanisms. It then goes...


Paul Wilmott – The Best of Wilmott vol 1-2

The Best of Wilmott 1Incorporating the Quantitative Finance ReviewNovember 11th 2003 saw a landmark event take place in London. As the first conference designed for quants by quants the Quantitative Finance Review 2003, moved away from...


Ganapathy Vidyamurthy – Pairs Trading: Quantitative Methods & Analysis

Ganapathy Vidyamurthy – Pairs Trading: Quantitative Methods & Analysis The first in-depth analysis of pairs trading Pairs trading is a market-neutral strategy in its most simple form. The strategy involves being long (or bullish) one asset...


High Probability Option Trading – Covered Calls and Credit Spreads

High Probability Option Trading – Covered Calls and Credit Spreads Run time: 58 minutes. Credit spreads provide a low-risk way to profit from selling options without taking on excessive risks. However, traders may fail to maximize...


Marion A.Brach – Real Options in Practice

Real options are quickly becoming the valuation and decision-making method of choice for many companies, including oil and gas companies, utilities and natural resource companies, pharmaceutical and biotech companies, Internet companies, and many others.Real Options in...


Lawrence Cavanaugh – Options Screening - Finding Profitable Trades

Lawrence Cavanaugh – Options Screening - Finding Profitable Trades Hedge your risk and reap healthy returns with option spreads, no matter how the market performs! Drawing on his years of experience as a well-known options expert,...


Dan Passarelli – Trading Option Greeks

Dan Passarelli – Trading Option Greeks ISBN: 978-0-470-88519-2 330 pages May 2010 Veteran options trader Dan Passarelli explains a new methodology for option trading and valuation. With an introduction to option basics as well as chapters...


Robert W.Ward – Options & Options Trading

Robert W.Ward – Options & Options Trading Too many books on options trading make the mistake of assuming that readers can already tell a delta from a sigma summation. Options and Options Trading breaks the code that envelops...


Frank J.Fabozzi – The Handbook Of Fixed Income Securities (7th Ed.)

Frank J.Fabozzi – The Handbook Of Fixed Income Securities (7th Ed.) The Handbook of Fixed Income Securities occupies the top spot as the most authoritative, widely read reference in the global fixed income marketplace. First published in...


Antonio Mele – Lecture Notes In Financial Economics

Antonio Mele – Lecture Notes In Financial Economics The present Lecture Notes in Financial Economics are based on my teaching notes for advanced undergraduate and graduate courses in financial economics, macroeconomic dynamics, financial econometrics and financial...