QUANTITATIVE ANALYSIS IN FINANC..(VOL.2)

QUANTITATIVE ANALYSIS IN FINANC..(VOL.2)

Tekijä: Avellaneda Marco
Kustantaja: World Scientific Publishing Company
Julkaisuvuosi: 2001
ISBN: 9789810242251

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Maksa Klarnalla
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This book contains lectures delivered at the celebrated Seminar in Mathematical Finance at the Courant Institute. The lecturers and presenters of papers are prominent researchers and practitioners in the field of quantitative financial modeling. Most are faculty members at leading universities or Wall Street practitioners.The lectures deal with the emerging science of pricing and hedging derivative securities and, more generally, managing financial risk. Specific articles concern topics such as option theory, dynamic hedging, interest-rate modeling, portfolio theory, price forecasting using statistical methods, etc.

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