‘Collection of Articles’. n.d.
Crouhy, Michel, Dan Galai, and Robert Mark. 2014. ‘The Essentials of Risk Management’. In , 2nd ed. New York: McGraw Hill.
‘During the Course There May Be Hand-Outs and Other Material on Additional Topics Relevant for the Course and the Examination.’ n.d.
Hillier, David, Sheridan Titman, and Mark Grinblatt. 2012. ‘Financial Markets and Corporate Strategy’. In , 2nd European ed. London: McGraw-Hill.
Hull, John. n.d. Options, Futures, and Other Derivatives. 9th ed. Boston, Mass: Pearson.
McDonald, Robert L. n.d. Derivatives Markets. 3rd ed., New international ed. Boston: Pearson Education. https://ebookcentral.proquest.com/lib/bilibrary/detail.action?docID=5138381.
Stulz, René M. 2002a. ‘Risk Management & Derivatives’. In . Mason, Ohio: Thomson South-Western.
———. 2002b. Risk Management & Derivatives. Mason, Ohio: Thomson South-Western.