Quantitative Modeling of Derivative Securities: From Theory To Practice (Bog, Hardback, Engelsk)

Quantitative Modeling of Derivative Securities: From Theory To Practice

(Bog, Hardback, Engelsk)
Forfattere: Marco (Courant Institute Avellaneda, Peter (Universita di Roma Laurence

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Beskrivelse

Based primarily on the analysis of derivatives, this work emphasizes relative-value and hedging ideas applied to different financial instruments. It demonstrates how to take the basic ideas of arbitrage theory and apply them to the design and analysis of financial products.

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Alle detaljer

Forlag Taylor & Francis Inc
Forfattere Marco (Courant Institute Avellaneda, Peter (Universita di Roma Laurence
Type Bog
Format Hardback
Sprog Engelsk
Udgivelsesdato 17-09-1999
Første udgivelsesår 1999
Illustrationer 1 Tables, black and white; 20 Halftones, black and white
Originalsprog United States
Sideantal 334
Indbinding Hardback
Forlag Taylor & Francis Inc
Sideoplysninger 334 pages, 1 Tables, black and white; 20 Halftones, black and white
Mål 210 x 150 x 22
ISBN-13 / EAN-13 9781584880318