期权交易策略与风险管理

ebook

By 杨永彬 刘圣根 吴尚炫

cover image of 期权交易策略与风险管理

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本书深入浅出地介绍了期权策略与风险管理,主要内容有期权特性、二叉树模型、希腊值、波动率、波动率交易与Delta对冲、B-S期权定价模型的局限和应用、期权策略等,力求把概念讲清楚,把策略说透彻,简单而直观地展示期权特性,并附有大量的实际交易案例,以解读希腊值Greeks、波动率和Delta对冲。

期权交易策略与风险管理