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OPTIONS, FUTURES ET AUTRES ACTIFS DERIVES 10E EDITION

Format: Paperback

Condition: Poor Condition — £35.33
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Our conditions mean the following:

  • New - a brand new book
  • Almost New - appears new but is actually secondhand.
  • Very Good - only minor imperfections such as minor scuffs to edge or cover or a price written in pencil or shop sticker.
  • Standard Secondhand - Clearly been read before, but not too bad. We do not recommend these for gifting. Spines usually creased. Could also include creases or folds to cover, some writing such as in the cover or elsewhere, underlining or highlighting, but might not do. Possibly some stains or marks. Similar in general to books in any secondhand shop or charity shop.
  • Poor Condition - Usually this will have a specific problem such as writing inside, water damage, missing dust jacket, heavy staining, large creases or cuts. These are readable copies but not nice ones. On other websites this condition is called 'Acceptable' or 'Fair' , but we want to be more honest.
£35.33
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Best-seller international, le livre de John Hull fait autorité aussi bien en salle de cours qu'en salle de marchés. Il fait le lien entre la théorie des actifs dérivés et leur pratique.
Parmi ses points forts:
• L'ouvrage le plus complet sur les actifs dérivés: contrats à terme, options, futures, swaps, etc.
• De nombreux développements sur Bâle III, le modèle variance-gamma, les ajustements de convexité des contrats futures Eurodollar, les modèles de copula et les stock-options.
• Un usage raisonné des mathématiques: explications claires, sélection de l’essentiel.
• Une cinquantaine d’encadrés analysant des pratiques ou des cas d’entreprise.
• Plus de 700 mises en situation sous forme de problèmes et exercices pour s’entraîner ou de questions d’approfondissement (« Corrigés » publiés chez le même éditeur).

Actualisée et enrichie, cette 10e édition se distingue notamment par:
• un nouveau chapitre (chapitre 9) sur les ajustements de valeur tels que le CVA, le DVA, le FVA, le MVA et le KVA;
• la mise à jour du chapitre 7 afi n de prendre en compte les changements de pratique par rapport aux swaps;
• de nouveaux éléments sur les CCP et la régulation des marchés de gré à gré;
• un développement sur les modèles d’équilibre de la structure par termes;
• l’évocation des taux d’intérêt négatifs dans l’ensemble de l’ouvrage.

Le logiciel Derivagem offert!
Grâce à votre code personnel, fourni à la fi n de ce manuel, vous pourrez télécharger la dernière version (4.00) du logiciel DerivaGem, créé par l’auteur. Cette version comprend de nombreux nouveaux modèles d’évaluation: Heston, SABR, Bachelier normal, etc.

Author: John Hull (all their books in stock)
Format: Paperback
Published: 2017
Pages: 936
Publisher: Pearson
ISBN: 9782326001565

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Our conditions mean the following:

  • New - a brand new book
  • Almost New - appears new but is actually secondhand.
  • Very Good - only minor imperfections such as minor scuffs to edge or cover or a price written in pencil or shop sticker.
  • Standard Secondhand - Clearly been read before, but not too bad. We do not recommend these for gifting. Spines usually creased. Could also include creases or folds to cover, some writing such as in the cover or elsewhere, underlining or highlighting, but might not do. Possibly some stains or marks. Similar in general to books in any secondhand shop or charity shop.
  • Poor Condition - Usually this will have a specific problem such as writing inside, water damage, missing dust jacket, heavy staining, large creases or cuts. These are readable copies but not nice ones. On other websites this condition is called 'Acceptable' or 'Fair' , but we want to be more honest.
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