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Financial Surveillance

chapters written by specialists from both fields and strikes a balance between the financial and statistical worlds, enhancing future;

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The Econometrics of Financial Markets

routinely use sophisticated statistical techniques in portfolio management, proprietary trading, risk management, financial consulting, and;

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Mathematical and Statistical Methods for Actuarial Sciences and Finance

Mathematical and Statistical Methods for Actuarial Sciences and Finance (MAF), held at Universidad Carlos III de Madrid (Spain), 4th-6th April 2018;

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Stochastic Volatility in Financial Markets

Stochastic Volatility in Financial Markets presents advanced topics in financial econometrics and theoretical finance, and is divided into;

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Stochastic Volatility in Financial Markets

Stochastic Volatility in Financial Markets presents advanced topics in financial econometrics and theoretical finance, and is divided;

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Financial Modelling in Commodity Markets

assets and financial positions related to the commodity markets. It discusses statistical and mathematical tools important for estimating;

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Financial Modelling in Commodity Markets

assets and financial positions related to the commodity markets. It discusses statistical and mathematical tools important for estimating;

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Handbooks In Operations Research And Management Science

and statistical methods and tools to implement the models and employ them to design and evaluate financial products and processes to manage;

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Financial Derivative And Energy Market Valuation

A road map for implementing quantitative financial models Financial Derivative and Energy Market Valuation brings the application;

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Parameter Estimation in Fractional Diffusion Models

This book is devoted to parameter estimation in diffusion models involving fractional Brownian motion and related processes. For many years;

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Quantitative Methods for Portfolio Analysis

This text aims to provide practical models and methods for the quantitative analysis of financial asset prices, construction of various;

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Statistical Methods for Financial Engineering

field are often overlooked or restricted to a few well-known cases. Statistical Methods for Financial Engineering guides current and future;

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Statistical Methods for Financial Engineering

field are often overlooked or restricted to a few well-known cases. Statistical Methods for Financial Engineering guides current and future;

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Introduction to Statistical Methods for Financial Models

This book provides an introduction to the use of statistical concepts and methods to model and analyze financial data. The ten chapters;

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Introduction to Statistical Methods for Financial Models

This book provides an introduction to the use of statistical concepts and methods to model and analyze financial data. The ten chapters;

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Introduction To Analysis Of Financial Data With R

A complete set of statistical tools for beginning financial analysts from a leading authority Written by one of the leading experts on the;

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Financial Markets And Trading

theoretical aspects of market microstructure and trading strategies that may be more relevant for practitioners.Part One details the modern financial;

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Financial Econometrics

Financial econometrics is a great success story in economics. Econometrics uses data and statistical inference methods, together with;

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Financial Econometrics

Financial econometrics is a great success story in economics. Econometrics uses data and statistical inference methods, together with;

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Hidden Markov Models In Finance

estimation and more. The book provides tools for sorting through turbulence, volatility, emotion, chaotic events - the random noise of financial;

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Theory of Financial Risk and Derivative Pricing

Risk control and derivative pricing have become of major concern to financial institutions, and there is a real need for adequate;

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Theory of Financial Risk and Derivative Pricing

Risk control and derivative pricing have become of major concern to financial institutions, and there is a real need for adequate;

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Statistics of Financial Markets

series analysis, and on applications to given problems concerning financial markets, thus making the book the ideal basis for lectures, seminars;

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Financial Economics

finance, and methods of statistical inference. Part II explains the main empirical facts and the challenges these pose for financial economists;

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Statistical Models and Methods for Reliability and Survival Analysis

Statistical Models and Methods for Reliability and Survival Analysis brings together contributions by specialists in statistical theory as;

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Introduction to the Theories and Varieties of Modern Crime in Financial Markets

Introduction to the Theories and Varieties of Modern Crime in Financial Markets explores statistical methods and data mining techniques;

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Optimal Statistical Inference in Financial Engineering

Until now, few systematic studies of optimal statistical inference for stochastic processes had existed in the financial engineering;

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