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Written in plain English and based on successful client engagements, Data Modeling of Financial Derivatives: A Conceptual Approach;
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This book is the definitive and most comprehensive guide to modeling derivatives in C++ today. Providing readers with not only the theory;
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in finance. It is easily accessible to derivatives practitioners in the financial engineering industry.;
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This book gives a comprehensive introduction to the modeling of financial derivatives, covering all major asset classes (equities;
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models with financial-economical justifications, develops options along the martingale approach, and handles option evaluations with precise;
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models with financial-economical justifications, develops options along the martingale approach, and handles option evaluations with precise;
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Weather derivatives provide a tool for weather risk management, and the markets for these exotic financial products are gradually emerging;
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variety of complex derivatives, including rapidly emerging instruments covered in no other book. Utilizing actual Bloomberg data, London covers;
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Weather derivatives are financial instruments that can be used by organizations or individuals as part of a risk management strategy to;
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Weather derivatives are financial instruments that can be used by organizations or individuals as part of a risk management strategy to;
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. In particular, it considers new models for hedge funds and derivatives of derivatives, and adds to the literature of testing for the efficiency;
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book explores financial models, like derivatives pricings, market and credit risk modeling, and advanced interest rate modeling. With step-by;
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: financial management; corporate finance; portfolio management and financial derivatives. Written in a highly practical, market focused manner, it;
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Essential insights on the various aspects of financial derivatives If you want to understand derivatives without getting bogged down by;
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The broad theme of Volume 32 of Research in Finance is The Spread of Financial Sophistication Through Emerging Markets Worldwide;
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demand function with derivatives using the new monetary aggregates. As a result it is concluded that monetary policy has lost some effectiveness;
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and modeling of financial and commodity derivatives, their institutional framework and risk management. It provides an overview of the new;
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and modeling of financial and commodity derivatives, their institutional framework and risk management. It provides an overview of the new;
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This book presents 20 peer-reviewed chapters on current aspects of derivatives markets and derivative pricing. The contributions, written;
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Financial econometrics brings financial theory and econometric methods together with the power of data to advance understanding of the;
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Volume 1 of the Encyclopedia of Financial Models The need for serious coverage of financial modeling has never been greater, especially;
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of pricing and credit derivatives further illuminates a problem that has drawn much attention in an era when financial institutions the world;
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This book brings together the latest concepts and models in real-estate derivatives, the new frontier in financial markets. The importance;
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Understand derivatives in a nonmathematical way Financial Derivatives, Third Edition gives readers a broad working knowledge of derivatives;
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This book addresses selected practical applications and recent developments in the areas of quantitative financial modeling in derivatives;
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financial instruments (stocks, bonds, options, derivatives) that generate and require data to keep the markets moving. This book is a concise;
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Practical Readings in Financial Derivatives is a collection of 20 articles spanning major developments in the field in theory and practice;
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