[1]
R. L. McDonald, Derivatives markets, 3rd ed., New international ed. Boston: Pearson Education [Online]. Available: https://ebookcentral.proquest.com/lib/bilibrary/detail.action?docID=5138381
[2]
M. Crouhy, D. Galai, and R. Mark, ‘The essentials of risk management’, 2nd ed., New York: McGraw Hill, 2014.
[3]
D. Hillier, S. Titman, and M. Grinblatt, ‘Financial markets and corporate strategy’, 2nd European ed., London: McGraw-Hill, 2012.
[4]
R. M. Stulz, ‘Risk management & derivatives’, Mason, Ohio: Thomson South-Western, 2002.
[5]
‘Collection of articles’. .
[6]
‘During the course there may be hand-outs and other material on additional topics relevant for the course and the examination.’ .
[7]
J. Hull, Options, futures, and other derivatives, 9th ed. Boston, Mass: Pearson.
[8]
R. M. Stulz, Risk management & derivatives. Mason, Ohio: Thomson South-Western, 2002.