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Derivatives
Market and
Instrument
Derivatives
Alaleh Mani
2013
Introduction
 Derivatives Market is bigger than stock Market.
 It comes from Securitization.
 It shifts Risk within participants.
 It is too risky and high leveraged .
 It Reduces transaction cost. It provides
 price information.
 Great deal of liquidity
 Attract different types of dealers
Exchange trade and OTC
 Option and Future Contracts @Standardized
exchange trade backed by clearinghouse. (CME
,CBOE )
 Forward, Swaps and Bond Option @ Unregulated
OTC / Dealer Market has no central location with
high credit risk. Bigger than Exchange-trade with
easier term of contract and free negotiation.
 Electronic trading, Robo, Black box,
automated, high frequency
Contract Commitment Vs. Contingent Claim
 Forward Contract: Spot Contract is a
legally promise to perform an action in
future. Same as Forward, future, swap,
 Contingent Claim for broken certain
threshold. Same as Option
 Two options replicate a forward or future
contract.
 Long position payoff: ST-K
 Short position payoff: K-ST
Types of Participant and
trader
 Participants:
1. Buyer of call
2. Seller of call
3. Buyer of put
4. Seller of put
 Trader:
1. Hedger
2. Speculator
3. Arbitrageur
Arbitrage
 Two identical payoff have the same price.
 Certain pay off of a portfolio is more than risk
free rate.
 Market Efficiency.
 Mispricing asset bring up arbitrage opportunity.
 Combining uncertain returns in portfolio to result
certain return.
Hedger
Reducing Risk with no guarantee of better off.
Always avoid of exposure to risk.
 Using Forward Contract
Locking the exchange rate in forward contract. It
Neutralizes by Fixing the price.
 Using Option
Stock option is used to protect losing on stock price
and provide insurance.
Upfront fees is needed
Speculator
Looking for a position of exposure.
 Using Future
In hope of strength of currency:
1. Purchase currency in spot market.(need high
investment)
2. take long position in future contract on currency.
 Using option
In hope of stock price growth:
1.Purchse stock
2.Long position in call option (more profitable)
Arbitrageur
 Locking in riskless profit in two or more Market
 Caused by discrepancy of price in two markets
 Last very short as Market get balance by demand
and supply and transaction costs.

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Introduction to Derivatives

  • 2. Introduction  Derivatives Market is bigger than stock Market.  It comes from Securitization.  It shifts Risk within participants.  It is too risky and high leveraged .  It Reduces transaction cost. It provides  price information.  Great deal of liquidity  Attract different types of dealers
  • 3. Exchange trade and OTC  Option and Future Contracts @Standardized exchange trade backed by clearinghouse. (CME ,CBOE )  Forward, Swaps and Bond Option @ Unregulated OTC / Dealer Market has no central location with high credit risk. Bigger than Exchange-trade with easier term of contract and free negotiation.  Electronic trading, Robo, Black box, automated, high frequency
  • 4. Contract Commitment Vs. Contingent Claim  Forward Contract: Spot Contract is a legally promise to perform an action in future. Same as Forward, future, swap,  Contingent Claim for broken certain threshold. Same as Option  Two options replicate a forward or future contract.  Long position payoff: ST-K  Short position payoff: K-ST
  • 5. Types of Participant and trader  Participants: 1. Buyer of call 2. Seller of call 3. Buyer of put 4. Seller of put  Trader: 1. Hedger 2. Speculator 3. Arbitrageur
  • 6. Arbitrage  Two identical payoff have the same price.  Certain pay off of a portfolio is more than risk free rate.  Market Efficiency.  Mispricing asset bring up arbitrage opportunity.  Combining uncertain returns in portfolio to result certain return.
  • 7. Hedger Reducing Risk with no guarantee of better off. Always avoid of exposure to risk.  Using Forward Contract Locking the exchange rate in forward contract. It Neutralizes by Fixing the price.  Using Option Stock option is used to protect losing on stock price and provide insurance. Upfront fees is needed
  • 8. Speculator Looking for a position of exposure.  Using Future In hope of strength of currency: 1. Purchase currency in spot market.(need high investment) 2. take long position in future contract on currency.  Using option In hope of stock price growth: 1.Purchse stock 2.Long position in call option (more profitable)
  • 9. Arbitrageur  Locking in riskless profit in two or more Market  Caused by discrepancy of price in two markets  Last very short as Market get balance by demand and supply and transaction costs.