Financial derivatives—particularly hedging and speculative instruments—have been widely implicated by those seeking causes of the global financial crisis. And, while international financial systems continue to be buffeted by extreme turbulence, the necessity to comprehend the economic rationale behind derivatives, as well as their use—and misuse—has never been greater.
This new four-volume collection from Routledge answers that need. David H. Goldenberg, a leading scholar in the field, has brought together the foundational and the very best cutting-edge contributions. The collection maps the existing body of thinking and helps users to make sense of the continuing explosion in scholarly output.
Financial Derivatives is fully indexed. It also includes four volume introductions, newly written by the editor, which places the material in its intellectual and historical context. It is an essential work of reference and is destined to be valued by users as a vital one-stop research resource.
David H. Goldenberg, Rensselaer Polytechnic Institute, USA
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