Description

Book Synopsis
This book teaches financial engineering in an innovative way: by providing tools and a point of view to quickly and easily solve real front-office problems. Projects and simulations are not just exercises in this book, but its heart and soul. You will not only learn how to do state-of-the-art simulations and build exotic derivatives valuation models, you will also learn how to quickly make reasonable inferences based on incomplete information. This book will give you the expertise to make significant progress in understanding brand new derivatives given only a preliminary term sheet, thus making you extraordinarily valuable to banks, brokerage houses, trading floors, and hedge funds.Financial Hacking is not about long, detailed mathematical proofs or brief summaries of conventional financial theories; it is about engineering specific, useable answers to imprecise but important questions. It is an essential book both for students and for practitioners of financial engineering.MBAs in finance learn case-method and standard finance mainly by talking. Mathematical finance students learn the elegance and beauty of formulas mainly by manipulating symbols. But financial engineers need to learn how to build useful tools, and the best way to do that is to actually build them in a test environment, with only hypothetical profits or losses at stake. That's what this book does. It is like a trading desk sandbox that prepares graduate students or others looking to move closer to trading operations.

Table of Contents
Black-Scholes; Intuitions about Option Greeks; Exotic Options; P&L Decomposition; Hedging Questions; Volatility Skews and Smiles; Local and Implied Volatilities; Variance Swaps; Exotic Derivatives.

Financial Hacking: Evaluate Risks, Price

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    £42.75

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    RRP £45.00 – you save £2.25 (5%)

    Order before 4pm tomorrow for delivery by Sat 20 Jun 2026.

    A Hardback by Philip Z Maymin

    1 in stock

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      Publisher: World Scientific Publishing Co Pte Ltd
      Publication Date: 21/12/2012
      ISBN13: 9789814322553, 978-9814322553
      ISBN10: 9814322555

      Description

      Book Synopsis
      This book teaches financial engineering in an innovative way: by providing tools and a point of view to quickly and easily solve real front-office problems. Projects and simulations are not just exercises in this book, but its heart and soul. You will not only learn how to do state-of-the-art simulations and build exotic derivatives valuation models, you will also learn how to quickly make reasonable inferences based on incomplete information. This book will give you the expertise to make significant progress in understanding brand new derivatives given only a preliminary term sheet, thus making you extraordinarily valuable to banks, brokerage houses, trading floors, and hedge funds.Financial Hacking is not about long, detailed mathematical proofs or brief summaries of conventional financial theories; it is about engineering specific, useable answers to imprecise but important questions. It is an essential book both for students and for practitioners of financial engineering.MBAs in finance learn case-method and standard finance mainly by talking. Mathematical finance students learn the elegance and beauty of formulas mainly by manipulating symbols. But financial engineers need to learn how to build useful tools, and the best way to do that is to actually build them in a test environment, with only hypothetical profits or losses at stake. That's what this book does. It is like a trading desk sandbox that prepares graduate students or others looking to move closer to trading operations.

      Table of Contents
      Black-Scholes; Intuitions about Option Greeks; Exotic Options; P&L Decomposition; Hedging Questions; Volatility Skews and Smiles; Local and Implied Volatilities; Variance Swaps; Exotic Derivatives.

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