Financial Derivatives & Risk Management
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Book Details
- Publisher: Sultan Chand & Sons
- ISBN: 9789349290631
- Edition: 1st Edition
- Language: English
- Weight: 0.00g
- Title Code: 1340
- Author: Das Kishore Kumar (Dr), Sahoo Aditya Prasad (Dr)
About the Book
The 1st Edition of Financial Derivatives & Risk Management by Das Kishore Kumar (Dr) and Sahoo Aditya Prasad (Dr), published by Sultan Chand & Sons, provides a comprehensive understanding of financial risks and the role of derivatives in managing them. The book is designed for students, professionals, and researchers seeking both theoretical knowledge and practical insights.
It covers a wide range of risks including interest rate risk, credit risk, liquidity risk, market risk, and technological risk, offering a structured approach to understanding and mitigating these challenges. The book explains key derivative instruments such as forwards, futures, options, and swaps, along with valuation models like the Black-Scholes model and binomial framework, making complex concepts accessible and practical.
Special emphasis is placed on the Indian derivatives market, including regulatory aspects and trading mechanisms, ensuring relevance for Indian learners and professionals.
Salient Features
- Comprehensive coverage of financial risks and mitigation strategies.
- Detailed explanation of derivative instruments and valuation models.
- Inclusion of real-world case studies and practical applications.
- Focus on Indian market regulations and trading systems.
- Balanced approach combining theoretical concepts with practical insights.
This book is an essential resource for understanding modern financial risk management and effectively using derivatives in dynamic financial markets.

