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Multi-Asset Risk Modeling - Techniques for a Global Economy in an Electronic and Algorithmic Trading Era (Hardcover, New) Loot Price: R1,870
Discovery Miles 18 700
Multi-Asset Risk Modeling - Techniques for a Global Economy in an Electronic and Algorithmic Trading Era (Hardcover, New):...

Multi-Asset Risk Modeling - Techniques for a Global Economy in an Electronic and Algorithmic Trading Era (Hardcover, New)

Morton Glantz, Robert Kissell

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Loot Price R1,870 Discovery Miles 18 700 | Repayment Terms: R175 pm x 12*

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"Multi-Asset Risk Modeling" describes, in a single volume, the latest and most advanced risk modeling techniques for equities, debt, fixed income, futures and derivatives, commodities, and foreign exchange, as well as advanced algorithmic and electronic risk management. Beginning with the fundamentals of risk mathematics and quantitative risk analysis, the book moves on to discuss the laws in standard models that contributed to the 2008 financial crisis and talks about current and future banking regulation. Importantly, it also explores algorithmic trading, which currently receives sparse attention in the literature. By giving coherent recommendations about which statistical models to use for which asset class, this book makes a real contribution to the sciences of portfolio management and risk management.
Covers all asset classes Provides mathematical theoretical explanations of risk as well as practical examples with empirical dataIncludes sections on equity risk modeling, futures and derivatives, credit markets, foreign exchange, and commodities

General

Imprint: Academic Press Inc
Country of origin: United States
Release date: 2014
First published: December 2013
Authors: Morton Glantz • Robert Kissell
Dimensions: 235 x 191 x 32mm (L x W x T)
Format: Hardcover
Pages: 544
Edition: New
ISBN-13: 978-0-12-401690-3
Categories: Books > Business & Economics > Finance & accounting > Finance > General
Books > Money & Finance > General
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LSN: 0-12-401690-1
Barcode: 9780124016903

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