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Multi-Asset Risk Modeling - Techniques for a Global Economy in an Electronic and Algorithmic Trading Era (Hardcover, New)
Loot Price: R1,927
Discovery Miles 19 270
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Multi-Asset Risk Modeling - Techniques for a Global Economy in an Electronic and Algorithmic Trading Era (Hardcover, New)
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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
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