Introduction to Financial Derivatives
The materials presented here follow the table of contents of my co-authored book with Don M. Chance, An Introduction to Derivatives and Risk Management, 10th Edition. It is recommended that you acquire a copy prior working through this material. As the layout is topical, you should be able to use any undergraduate level book to supplement this material. The goal is to provide an introduction to the wild world of derivatives and examine how these financial instruments are used to efficiently and effectively manage various market risks.