Written by a leading options trader and derivatives risk advisor to global banks and exchanges, this book provides a practical, real-world methodology for monitoring and managing all the risks associated with portfolio management. Fills a big gap in investment literature -- the only book to share complex options trading strategies and advanced risk management methods with trading professionals.
Details
| Publish date | January 14, 1997 |
| Publisher | Wiley |
| Format | Hardcover |
| Pages | 528 |
| ISBN | 9780471152804
0471152803 |