‘Financial Derivatives and Risk Management’ Becomes a Bestseller: Empowering India’s Next-Gen Finance Professionals

In the ever-evolving world of finance, staying ahead isn’t just an advantage. it’s a necessity. Whether you’re a student preparing for high-stakes exams, a trader managing risk in volatile markets, or a finance professional navigating investment strategies, one tool that can sharpen your edge is knowledge.

Enter Financial Derivatives and Risk Management: Derivative Strategies a new bestselling book by finance expert Sanjay Mehrotra, published by PNP Academy. This book has rapidly climbed the charts on Amazon, earning its place among the top resources in finance education.

So what makes this book so impactful and why are thousands of learners and professionals adding it to their shelves? Let’s explore.

Who Is Sanjay Mehrotra?

Sanjay Mehrotra isn’t just an author he’s a mentor to over 1,50,000 students worldwide. With experience teaching CA, CFA, BCom, and other finance aspirants across India and globally, Mehrotra has become a recognizable name in corporate finance training.

He is the founder of the YouTube channel Capital Buddy, where he simplifies complex finance concepts into digestible, practical knowledge for learners of all backgrounds. His ability to break down the dense world of derivatives into relatable, real-world examples sets him apart as both an educator and a storyteller.

What the Book Offers

Financial Derivatives and Risk Management isn’t your average academic textbook. This book is written in simple language, enriched with real-life examples and designed for universal readability.

Whether you’re learning derivatives for the first time or looking to master the art of hedging and risk management strategies, this book meets you where you are. Key takeaways include:

  • Understanding Financial Derivatives: Futures, options, swaps, and forward contracts are explained not just theoretically, but in ways that directly apply to market use.
  • Risk Management Techniques: Practical strategies for mitigating financial risk vital for portfolio managers, investors, and hedge funds.
  • Hedge Effectiveness Testing: Methods such as VaR (Value at Risk) that enhance decision-making and ensure compliance.
  • Real-World Applications: Examples pulled from real markets make the learning process more relatable and useful.

Co-Authored Insights from Durga Bhavani Jammula

What strengthens this book even more is the contribution of Durga Bhavani Jammula a finance professional with degrees from the University of Massachusetts Boston and certifications like CA and CMA.

Her expertise in derivatives trading, pricing, market risk analysis, and financial modeling adds immense value. Her focus on integrating derivatives with transfer pricing provides an advanced layer of insight useful for trade finance and compliance professionals.

Together, the duo makes this book a comprehensive manual for anyone serious about understanding and applying derivative strategies.

Why It’s a Bestseller

Here’s why this book became an Amazon #1 Bestseller:

  • Practical, Action-Oriented Content: It’s not just theory. Readers walk away with tools they can apply immediately in the real world.
  • Trusted by Institutions and Professionals: The book is already being used in top universities and training centers across India.
  • Author Reach: Sanjay Mehrotra’s extensive online presence through his YouTube channel helps learners globally, and this book extends his reach in a structured, consolidated format.
  • Clarity of Language: No jargon, no fluff. Just crisp concepts made human-friendly.

Who Is This Book For?

This book is a goldmine for:

  • Finance Students preparing for competitive exams like CA, CFA, MBA-Finance, or university-level certifications.
  • Traders and Portfolio Managers looking to optimize performance while managing market uncertainty.
  • Risk Analysts and Hedge Fund Professionals who need a dependable guide for effective risk evaluation.
  • Startup Founders and Entrepreneurs interested in leveraging derivatives for hedging and cash flow strategies.
  • Educators and Finance Trainers who seek a reliable, updated textbook with real-life case applications.

The Human Touch Behind the Numbers

Behind the analytical precision and financial formulas lies the human touch that makes this book so engaging.

Sanjay Mehrotra dedicates this book to his late parents, his Guru Sai Baba, and Hanuman — adding a spiritual sincerity to an otherwise technical domain. That blend of personal faith and professional insight is a reminder that even the most complex subjects can be taught with compassion and clarity.

Why PNP Academy Chose This Book

As the official publisher, PNP Academy is proud to bring this resource to life. Known for publishing educational bestsellers and supporting authors across disciplines, PNP Academy ensures that each book is designed for both intellectual depth and reader accessibility.

With this title, PNP Academy reinforces its commitment to empowering India’s finance community with global-level content rooted in practical understanding.

Final Thoughts

Financial Derivatives and Risk Management isn’t just a textbook — it’s a toolkit. One that guides you through uncertainty with clarity, gives structure to your financial learning, and helps you gain confidence in one of the most dynamic sectors of the global economy.

Its rise to bestseller status isn’t just a publishing milestone — it’s a sign that more people are seeking smarter, simpler, and more impactful ways to learn finance.

So, whether you’re building your first portfolio or training the next generation of analysts, this book deserves a spot on your desk.

Where to Buy

You can grab your copy of the Amazon bestseller Financial Derivatives and Risk Management: Derivative Strategies by Sanjay Mehrotra from:

  1. Amazonhttps://www.amazon.in/dp/B0DX257Y98
  2. Flipkarthttps://www.flipkart.com/financial-derivatives-risk-management-derivative-strategies/p/itm04cbee29ea08c?pid=9788198456595

Published by:

Pen and Paper Academy

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📞 Contact: +91 9625407904

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