English | 2025 | Original PDF | 7 MB | 219 Pages
Eben Maré, B0DJYMVR84, 103263085X, 1040155197, 9781032630854, 9781040155196, 9781040155158, 9781032637099, 978-1032630854, 978-1040155196, 978-1040155158, 978-1032637099
A Concise Introduction to Financial
Derivatives seeks to present financial derivatives in a manner that
requires minimal mathematical background. Readers will obtain, in a
quick and engaging way, a working knowledge of the field and a
collection of practical working insights. The book is ideal for
aspiring young practitioners, advanced undergraduates, and
masters-level students who require a concise and practice-led
introduction to financial derivatives.
Features:
• Practical insights and modelling skills
• Accessible to practitioners and students without a significant mathematical background
Eben
Maré holds responsibility for absolute return portfolio management and
has been working in the financial markets for the last 33 years. He
has also held senior roles in risk management, treasury, derivatives
trading, and asset management. He has a PhD in Applied Mathematics and
is an associate professor in Mathematics and Applied Mathematics at the
University of Pretoria in South Africa. He has wide research interests
in financial derivatives, asset management, and financial markets.