Risk Management and Financial Derivatives: An Overview

Feb 3rd, 2012
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University of Kent, Canterbury and Medway
Course: finance
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This paper is provided as a study guide only, please do not submit this document directly to any university. It is our hope that the collection of interesting, invaluable and innovative papers in this special issue by some of the leading experts in the field of “Risk Management and Financial Derivatives” will be of wide interest to theoreticians and practitioners alike in risk and portfolio management, empirical finance and financial econometrics, and will encourage others to undertake research in a variety of challenging areas associated with the exciting and rapidly expanding areas of risk management and financial derivatives. It is our pleasure to acknowledge all the contributors for preparing their interesting and innovative papers in a timely manner, and for actively participating in the rigorous review process.

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