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It is widely acknowledged that many financial modelling techniques
failed during the financial crisis, and in our post-crisis
environment many techniques are being reconsidered. This single
volume provides a guide to lessons learned for practitioners and a
reference for academics.Including reviews of traditional
approaches, real examples, and case studies, contributors consider
portfolio theory; methods for valuing equities and equity
derivatives, interest rate derivatives, and hybrid products; and
techniques for calculating risks and implementing investment
strategies. Describing new approaches without losing sight of their
classical antecedents, this collection of original articles
presents a timely perspective on our post-crisis paradigm.
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