Interest Rate Modeling. Volume 3 Products and Risk Management

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  • Engels
  • Hardcover
  • 9780984422128
  • 17 augustus 2010
  • 548 pagina's
Alle productspecificaties

Samenvatting

The three volumes of Interest Rate Modeling present a comprehensive and up-to-date treatment of techniques and models used in the pricing and risk management of fixed income securities. Written by two leading practitioners and seasoned industry veterans, this unique series combines finance theory, numerical methods, and approximation techniques to provide the reader with an integrated approach to the process of designing and implementing industrial-strength models for fixed income security valuation and hedging. Aiming to bridge the gap between advanced theoretical models and real-life trading applications, the pragmatic, yet rigorous, approach taken in this book will appeal to students, academics, and professionals working in quantitative finance. The first half of Volume III contains a detailed study of several classes of fixed income securities, ranging from simple vanilla options to highly exotic cancelable and path-dependent derivatives. The analysis is done in product-specific fashion covering, among other subjects, risk characterization, calibration strategies, and valuation methods. In its second half, Volume III studies the general topic of derivative portfolio risk management, with a particular emphasis on the challenging problem of computing smooth price sensitivities to market input perturbations.

Productspecificaties

Inhoud

Taal
en
Bindwijze
Hardcover
Oorspronkelijke releasedatum
17 augustus 2010
Aantal pagina's
548
Illustraties
Met illustraties

Betrokkenen

Hoofdauteur
Leif B.G. Andersen
Tweede Auteur
Vladimir V. Piterbarg
Hoofduitgeverij
Atlantic Financial Press

Overige kenmerken

Extra groot lettertype
Nee
Product breedte
156 mm
Product hoogte
33 mm
Product lengte
234 mm
Studieboek
Nee
Verpakking breedte
167 mm
Verpakking hoogte
40 mm
Verpakking lengte
244 mm
Verpakkingsgewicht
941 g

EAN

EAN
9780984422128
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