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Deep Dive Into Financial Models: Modeling Risk And Uncertainty
Deep Dive Into Financial Models: Modeling Risk And Uncertainty
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Deep Dive Into Financial Models: Modeling Risk And Uncertainty

Lue Adobe DRM-yhteensopivassa e-kirjojen lukuohjelmassaTämä e-kirja on kopiosuojattu Adobe DRM:llä, mikä vaikuttaa siihen, millä alustalla voit lukea kirjaa. Lue lisää
Since 2007, the repeated financial crises around the world have brought to the headlines financial practices and models considered to fuel the economic instabilities. Deep Dive into Financial Models: Modeling Risk and Uncertainty comes handy in demystifying the underlying quantitative finance concepts. With a limited use of mathematical formalism, the book explains thoroughly the models, their hypotheses, principles and other building blocks. A particular care is given to model limitations and their misuse for investment strategies, asset pricing, or risk management. Its reader-friendly nature provides readers with a head start in quantitative finance.
ISBN
9789813142121
Kieli
englanti
Julkaisupäivä
14.11.2016
Formaatti
  • Epub - Adobe DRM
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