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Quantitative Analysis, Derivatives Modeling, And Trading Strategies: In The Presence Of Counterparty Credit Risk For The Fixed-income Market (Paperback)
Loot Price: R1,682
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Quantitative Analysis, Derivatives Modeling, And Trading Strategies: In The Presence Of Counterparty Credit Risk For The Fixed-income Market (Paperback)
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Total price: R1,692
Discovery Miles: 16 920
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This book addresses selected practical applications and recent
developments in the areas of quantitative financial modeling in
derivatives instruments, some of which are from the authors' own
research and practice. It is written from the viewpoint of
financial engineers or practitioners, and, as such, it puts more
emphasis on the practical applications of financial mathematics in
the real market than the mathematics itself with precise (and
tedious) technical conditions. It attempts to combine economic
insights with mathematics and modeling so as to help the reader to
develop intuitions.Among the modeling and the numerical techniques
presented are the practical applications of the martingale
theories, such as martingale model factory and martingale
resampling and interpolation. In addition, the book addresses the
counterparty credit risk modeling, pricing, and arbitraging
strategies from the perspective of a front office functionality and
a revenue center (rather than merely a risk management
functionality), which are relatively recent developments and are of
increasing importance. It also discusses various trading
structuring strategies and touches upon some popular credit/IR/FX
hybrid products, such as PRDC, TARN, Snowballs, Snowbears, CCDS,
and credit extinguishers.While the primary scope of this book is
the fixed-income market (with further focus on the interest rate
market), many of the methodologies presented also apply to other
financial markets, such as the credit, equity, foreign exchange,
and commodity markets.
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