Mathematical methods for finance : tools for asset and risk management /
Saved in:
Main Author: | Focardi, Sergio M. |
---|---|
Other Authors: | Fabozzi, Frank J., Bali, Turan G. |
Format: | Electronic eBook |
Language: | English |
Published: |
Hoboken, New Jersey :
John Wiley & Sons, Inc.,
[2013]
|
Series: | Frank J. Fabozzi series.
|
Subjects: | |
Online Access: | An electronic book accessible through the World Wide Web; click to view |
Tags: |
Add Tag
No Tags, Be the first to tag this record!
|
Similar Items
Mathematical methods for finance : tools for asset and risk management /
by: Focardi, Sergio M.
Published: (2013)
by: Focardi, Sergio M.
Published: (2013)
Mathematical techniques in finance tools for incomplete markets /
by: Černý, Aleš, 1971-
Published: (2009)
by: Černý, Aleš, 1971-
Published: (2009)
Mathematical techniques in finance tools for incomplete markets /
by: Černý, Aleš, 1971-
Published: (2009)
by: Černý, Aleš, 1971-
Published: (2009)
The mathematics of financial modeling and investment management /
by: Focardi, Sergio M.
Published: (2004)
by: Focardi, Sergio M.
Published: (2004)
The mathematics of financial modeling and investment management /
by: Focardi, Sergio M.
Published: (2004)
by: Focardi, Sergio M.
Published: (2004)
Counterparty credit risk, collateral and funding with pricing cases for all asset classes /
by: Brigo, Damiano
Published: (2013)
by: Brigo, Damiano
Published: (2013)
Counterparty credit risk, collateral and funding with pricing cases for all asset classes /
by: Brigo, Damiano
Published: (2013)
by: Brigo, Damiano
Published: (2013)
Anticipating correlations a new paradigm for risk management /
by: Engle, R. F. (Robert F.)
Published: (2009)
by: Engle, R. F. (Robert F.)
Published: (2009)
Anticipating correlations a new paradigm for risk management /
by: Engle, R. F. (Robert F.)
Published: (2009)
by: Engle, R. F. (Robert F.)
Published: (2009)
Dynamic copula methods in finance
Published: (2011)
Published: (2011)
Dynamic copula methods in finance
Published: (2011)
Published: (2011)
Numerical methods in finance /
Published: (2010)
Published: (2010)
Copula methods in finance
by: Cherubini, Umberto
Published: (2004)
by: Cherubini, Umberto
Published: (2004)
Numerical methods in finance /
Published: (2010)
Published: (2010)
Copula methods in finance
by: Cherubini, Umberto
Published: (2004)
by: Cherubini, Umberto
Published: (2004)
Advanced analytical models over 800 models and 300 applications from the Basel II Accord to Wall Street and beyond /
by: Mun, Johnathan
Published: (2008)
by: Mun, Johnathan
Published: (2008)
Advanced analytical models over 800 models and 300 applications from the Basel II Accord to Wall Street and beyond /
by: Mun, Johnathan
Published: (2008)
by: Mun, Johnathan
Published: (2008)
Bayesian risk management : a guide to model risk and sequential learning in financial markets /
by: Sekerke, Matt
Published: (2015)
by: Sekerke, Matt
Published: (2015)
Bayesian risk management : a guide to model risk and sequential learning in financial markets /
by: Sekerke, Matt
Published: (2015)
by: Sekerke, Matt
Published: (2015)
Mathematics for finance : an introduction to financial engineering /
by: Capinski, Marek
Published: (2011)
by: Capinski, Marek
Published: (2011)
Mathematics for finance : an introduction to financial engineering /
by: Capinski, Marek
Published: (2011)
by: Capinski, Marek
Published: (2011)
Advances in quantitative analysis of finance and accounting.
Published: (2006)
Published: (2006)
Advances in quantitative analysis of finance and accounting.
Published: (2006)
Published: (2006)
Linear factor models in finance
Published: (2005)
Published: (2005)
Linear factor models in finance
Published: (2005)
Published: (2005)
Stochastic simulation and applications in finance with MATLAB programs
by: Huynh, Huu Tue
Published: (2008)
by: Huynh, Huu Tue
Published: (2008)
Stochastic simulation and applications in finance with MATLAB programs
by: Huynh, Huu Tue
Published: (2008)
by: Huynh, Huu Tue
Published: (2008)
Extreme events in finance : a handbook of extreme value theory and its applications /
Published: (2017)
Published: (2017)
Extreme events in finance : a handbook of extreme value theory and its applications /
Published: (2017)
Published: (2017)
A workout in computational finance
by: Aichinger, Michael, 1979-
Published: (2013)
by: Aichinger, Michael, 1979-
Published: (2013)
A workout in computational finance
by: Aichinger, Michael, 1979-
Published: (2013)
by: Aichinger, Michael, 1979-
Published: (2013)
Financial markets and the real economy /
Published: (2006)
Published: (2006)
Financial markets and the real economy /
Published: (2006)
Published: (2006)
Quantitative finance for physicists an introduction /
by: Schmidt, Anatoly B.
Published: (2005)
by: Schmidt, Anatoly B.
Published: (2005)
Quantitative finance for physicists an introduction /
by: Schmidt, Anatoly B.
Published: (2005)
by: Schmidt, Anatoly B.
Published: (2005)
Problems and solutions in mathematical finance.
by: Chin, Eric, 1971-, et al.
Published: (2014)
by: Chin, Eric, 1971-, et al.
Published: (2014)
Problems and solutions in mathematical finance.
by: Chin, Eric, 1971-, et al.
Published: (2014)
by: Chin, Eric, 1971-, et al.
Published: (2014)
An introduction to wavelet theory in finance a wavelet multiscale approach /
by: In, Francis
Published: (2013)
by: In, Francis
Published: (2013)
An introduction to wavelet theory in finance a wavelet multiscale approach /
by: In, Francis
Published: (2013)
by: In, Francis
Published: (2013)
GARCH models structure, statistical inference, and financial applications /
by: Francq, Christian
Published: (2010)
by: Francq, Christian
Published: (2010)
Similar Items
-
Mathematical methods for finance : tools for asset and risk management /
by: Focardi, Sergio M.
Published: (2013) -
Mathematical techniques in finance tools for incomplete markets /
by: Černý, Aleš, 1971-
Published: (2009) -
Mathematical techniques in finance tools for incomplete markets /
by: Černý, Aleš, 1971-
Published: (2009) -
The mathematics of financial modeling and investment management /
by: Focardi, Sergio M.
Published: (2004) -
The mathematics of financial modeling and investment management /
by: Focardi, Sergio M.
Published: (2004)