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This document provides the teaching plan for the subject "Derivatives and Risk Management" being taught in semester 3. It includes details of the faculty, Bhaskar Sinha, the assessment structure consisting of an internal assessment of 60 marks and a written exam of 40 marks totaling 100 marks. Reference materials including books by John C. Hull and Rajiv Srivastava are listed. The 15 session plan covers topics such as forwards, futures, options, exotic options and VaR. Internal assessments will include MCQs
- Author
- Bhaskkar Sinha
- Language
- EN