Quantitative Finance: Exercises and Applications - J. C. Arismendi - Knjige - LAP LAMBERT Academic Publishing - 9783659629433 - 28. oktobra 2014
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Quantitative Finance: Exercises and Applications

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`Quantitative Finance' is defined as the science that uses and applies advanced mathematics to model the financial market. It has become an active topic that merge the theory of several areas: mathematics, statistics, finance, physics and computer science. In the present book a profound analysis of introductory topics is covered in the first part through exercises, for equity, commodity, currency, fixed-income and credit derivatives. Each exercise is comprehensive developed with fine detail. In the second part of the book two complex applications are provided: a multifactor Heath-Jarrow-Morton, and the uncertain volatility model of Avellaneda-Levy-Paras. Algorithms and programming codes are included to the reader for checking the theoretical results and for developing his own models.

Medij Knjige     Paperback Book   (Knjiga z mehkimi platnicami in lepljenim hrbtom)
Izdano 28. oktobra 2014
ISBN13 9783659629433
Založniki LAP LAMBERT Academic Publishing
Strani 228
Dimenzije 13 × 150 × 220 mm   ·   358 g
Jezik Nemščina  

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