
Mastering value at risk : a step-by-step guide to understanding and applying VaR
Title:
Mastering value at risk : a step-by-step guide to understanding and applying VaR
Author:
Butler, Cormac.
ISBN:
9780273637523
Personal Author:
Publication Information:
London ; New York : Financial Times/Prentice Hall, 1999.
Physical Description:
xiii, 242 pages : illustrations ; 25 cm.
Series:
Market editions
Market editions (Financial Times/Prentice Hall)
Contents:
An outline of value at risk -- Value at risk as s tool in supervisory regulation -- Portfolio risk measurement -- Fixed income products -- Measuring the risk of complex derivative products -- The Greeks -- Option strategies -- Monte Carlo simulation -- Applying VaR principles to credit control -- Estimating volatility for profitable trading and risk reduction -- Real-life application of models.