£99.00

Risk Books Hybrid Products

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£99.00 £94.05 £96.03 £98.01 £99.99 £101.97 £103.95 25 January 2026 02 February 2026 10 February 2026 18 February 2026 26 February 2026

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Description

Exploring the wide and innovative world of Hybrid Products, this up-to-date examination breaks down the traditional barriers and notions to aid the design, pricing and understanding of these tailored products. Covers the spectrum of hybrid investments, from equity-linked notes to volatility products and structured hedge fund investments. Illustrates the applications of such products and possible investment strategies under specific market conditions and/or investor objectives. Merges theory and practice into an understandable whole with the inclusion of case studies and practical examples that can be utilised into your work. Provides both background and advanced reading on the concepts and products as well the maths that underpins them. Enables the reader to understand the esoteric nature of volatility and the trading of realised and implied volatility, illustrated through a variety of products - including OTC variance swaps, options on realised variance and the listed VIX. Presents analysis of credit default swaps and equity default swap correlation and associated products. Addresses the challenges hybrid products pose to the risk management and information technology systems of an organisation that is structuring, hedging or investing in such products. Topics include position reporting and analysis, position valuation and understanding how changes occur with constantly evolving market conditions. Alexander Batchvarov is an investment banker who has been at the forefront of innovation in this field over recent years and has assembled a team of equally well-qualified contributors.

Product Specifications

Format
Hardcover
Domain
Amazon UK
Release Date
15 December 2004
Listed Since
22 December 2006

Barcode

No barcode data available

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