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Contagion Phenomena with Applications in Finance

contagion, with interpretations of hedge fund survival and market liquidity risks Features the standard practice of defining shocks to;

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Banking and Finance Issues in Emerging Markets

of existing economic and finance textbooks focus on concepts and theories with briefly exposited real-world examples for illustration. This book;

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Advanced Mathematical Methods for Finance

the modeling of risk. The topics selected include measures of risk, credit contagion, insider trading, information in finance, stochastic;

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Advanced Mathematical Methods for Finance

the modeling of risk. The topics selected include measures of risk, credit contagion, insider trading, information in finance, stochastic;

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Bubbles and Contagion in Financial Markets, Volume 1: An Integrative View

Understanding the formation of bubbles and the contagion mechanisms afflicting financial markets is a must as extreme volatility events;

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Contagion in Financial Markets

This book aims to integrate the notions of contagion in epidemiology and contagion in financial market crises to discover why emerging;

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Infectious Ideas Contagion in Premodern Islamic and Christian Thought in the Western Mediterranean

attempts to understand it. He explores how Christian scholars used the metaphor of contagion to define proper and safe interactions with heretics;

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Contagion of Bank Failures (Rle Banking & Finance)

This volume examines the vulnerability of sound banks during financial crises ;...

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An Introduction to Algorithmic Finance, Algorithmic Trading and Blockchain

, important read for anyone interested in or invested in the finance industry & it highlights and explains current phenomena in algorithmic finance;

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Banking Systems Simulation

institutional knowledge and experience, Banking Systems Simulation: Theory, Practice, and Application of Modeling Shocks, Losses, and Contagion presents;

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Wavelet Analysis

settings, where wavelets are used to model real-world phenomena and data needs (such as finance, medicine, engineering, transport, images, signals;

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Fractal Analysis

some important applications issued from real data sets, real physical and natural phenomena as well as real applications in different fields;

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International Finance

finance theory is followed by detailed coverage of policy applications. With this new 11th Edition, Global Edition, the author team of Nobel Prize;

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Introduction to Stochastic Differential Equations with Applications to Modelling in Biology and Finance

Stochastic Differential Equations with Applications to Modelling in Biology and Finance offers a comprehensive examination to the most important;

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Victorian Contagion

, and cultural imagination. Victorians dealt with the menace of contagion by theorizing a working motto in claiming the goodness and godliness;

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Victorian Contagion

, and cultural imagination. Victorians dealt with the menace of contagion by theorizing a working motto in claiming the goodness and godliness;

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Extreme Events In Finance A Handbook Of

extraordinary conditions. Beginning with a fascinating history of EVTs and financial modeling, the handbook introduces the historical implications that;

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Sparse Grid Quadrature in High Dimensions with Applications in Finance and Insurance

This book deals with the numerical analysis and efficient numerical treatment of high-dimensional integrals using sparse grids and other;

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Stochastic Analysis for Finance with Simulations

a tool to describe probabilistic phenomena. The level of familiarity with computer programming is kept to a minimum. To make the book;

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Stochastic Processes and Their Applications

research, business, and finance. It provides the theoretical foundations for modeling time-dependent random phenomena encountered in these;

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Behavioural Finance

A concrete guide that links the theory of behavioral finance with applications in financial products Behavioral finance is a rapidly;

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Structured Dependence between Stochastic Processes

finance, insurance, seismology, neuroscience, and genetics. With this monograph, the first to be devoted to the modeling of structured dependence;

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Hidden Markov Models in Finance

, annuity and insurance policies with option-embedded features, investment strategies, commodity markets, energy, high-frequency trading, credit;

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