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Derivatives and Internal Models

Kirjailija:
Sidottu, 2001
englanti
205,70 €

The successful first edition provided an introduction to the valuation and risk management of modern financial instruments, formulated in a precise mathematical expression and comprehensively covering all relevant topics using consistent and exact notation. In this new edition, Deutsch continues with this philosophy covering new and more advanced topics including terms structure models, second-order value at risk, time series analysis, GARCH models, differential equations, finite difference schemes, Martingales and Numeraires.

Kirjailija
Deutsch H.
Painos
2
ISBN
9780333977064
Kieli
englanti
Paino
518 grammaa
Julkaisupäivä
3.12.2001
Sivumäärä
621