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Risk Takers
PDF Download Risk Takers
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About the Author
John E. Marthinsen, Babson College, MA
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Product details
Paperback: 390 pages
Publisher: De|G Press; 3 edition (May 7, 2018)
Language: English
ISBN-10: 1547416092
ISBN-13: 978-1547416097
Product Dimensions:
6.7 x 0.9 x 9.4 inches
Shipping Weight: 1.4 pounds (View shipping rates and policies)
Average Customer Review:
4.5 out of 5 stars
9 customer reviews
Amazon Best Sellers Rank:
#584,011 in Books (See Top 100 in Books)
This was quite an interesting book to read. We had to do a book report on it for my class, and I was guessing it would be pretty boring. But I was so wrong this was a very insightful and interesting read. Each chapter seemed to showcase an even worse failure of the derivative market. By the end, you don't even know how any failure that large could occur. But they are all true stories and go over many of the derivative market well for those with a basic to intermediate knowledge of derivatives. For those that are more advanced, they might not learn as much on how any contract types work or options, but they will still learn about some huge missuses of derivatives. So still some knowledge for everyone.
I used this book for a Risk Management course in my MBA program. We had to read all of the cases in it which cover different hedge fund failures or derivative scams in which major companies lost billions of dollars. It is a very informative book which can get technical at some parts. It discusses the trading strategies of companies like Banker's Trust, LTCM, Amaranth, and many more. It is definitely worth the money and provides you with some impressive facts on the OTC market.
great
For anyone who studies or has studied derivatives, this text covers the most important historical cases. These cases not only provide essential background information, but indirectly teach the principles of derivatives in an easy to understand manner.
Good Condition
The book looks cheap and comes with weird printing quality. There are strange shadows somewhere here and there around the graphs and charts. Alto the location of the body of article is different for different pages, some close to the right margin while some to the left.In a word, does not look like something decently produced in the US. Little bit disspointed.
In Spring 2019, I am requiring this text in two undergraduates courses on risk management and derivatives. I have used the first and second editions previously and believe this is the best edition yet. The additions of cases, such as AIG, give a broader sense of mistakes made. I am pleased with the end of the chapter questions. I am also pleased with the background chapters, especially the first chapter on derivatives, which is then applied in the various case chapters. I think juniors and seniors with some finance basic course can enjoy the text if they apply themselves. Students who have had an investments course already, perhaps even a derivatives course, will find the text a wonderful application of what they have learned previously. Good read even if you aren't a student and want an accessible view inside some of the major financial messes of the last generation or two.
Because there is no table of content here, I would like to take the priviledge to type one for you.Ch 1 Employee stock options: what every MBA should knowCh 2 Roche Holding: the company, its financial strategy, and bull spread warrantsCh 3 The three amigos (three option traders)Ch 4 Metallgesellschaft AG: illusion of P/L, reality of cash flowsCh 5 Swaps that shook an industry; P&G vs Bankers TrustCh 6 Orange County: the largest municipal failure in US historyCh 7 Barings Bank PLC: Lesson's lessonsCh 8 Long-Term Mismanagement: "John Merriwether and the Arb Boys"IMHO, the author had delivered well what he promised on the book title. The cases are representative, concise but sufficiently detailed. The review questions in the end of each chapter and the absence of sophisticated option pricing formula make it particularly suitable as an HBR type textbooks on derivatives for business school undergrads. However, I am obliged to comment that the author had overlooked the negative influence of investmment bankers on the proliferation of derviatives. For readers who want to get a more complete picture, I would strongly recommend "Devil Take the Hindmost: A History of Financial Speculation by Edward Chancellor", "Fiasco by Frank Partnoy", "Eyewitness to Wall Street by David Colbert" and "Wall Street Meat by Andy Kessler".
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