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Finance and energy markets have been an active scientific field for
some time, even though the development and applications of
sophisticated quantitative methods in these areas are relatively
new-and referred to in a broader context as energy finance. Energy
finance is often viewed as a branch of mathematical finance, yet
this area continues to provide a rich source of issues that are
fuelling new and exciting research developments. Based on a special
thematic year at the Wolfgang Pauli Institute (WPI) in Vienna,
Austria, this edited collection features cutting-edge research from
leading scientists in the fields of energy and commodity finance.
Topics discussed include modeling and analysis of energy and
commodity markets, derivatives hedging and pricing, and optimal
investment strategies and modeling of emerging markets, such as
power and emissions. The book also confronts the challenges one
faces in energy markets from a quantitative point of view, as well
as the recent advances in solving these problems using advanced
mathematical, statistical and numerical methods. By addressing the
emerging area of quantitative energy finance, this volume will
serve as a valuable resource for graduate-level students and
researchers studying financial mathematics, risk management, or
energy finance.
In recent years, profound changes have affected the way people view
the role of religion and spirituality in the life cycle. For many
people, spirituality, always considered an essential part of
religion, has become an interest no longer tied to organized
religion. This book addresses the evolving relationship of
spirituality to religion in our time, and the consequences of this
change for understanding personality development. It also applies
the concept of implicit religion to show how the least easily
observed aspects of religion are at work in the growth of
personality.
Quantitative Modeling of Derivative Securities demonstrates how to
take the basic ideas of arbitrage theory and apply them - in a very
concrete way - to the design and analysis of financial products.
Based primarily (but not exclusively) on the analysis of
derivatives, the book emphasizes relative-value and hedging ideas
applied to different financial instruments. Using a "financial
engineering approach," the theory is developed progressively,
focusing on specific aspects of pricing and hedging and with
problems that the technical analyst or trader has to consider in
practice. More than just an introductory text, the reader who has
mastered the contents of this one book will have breached the gap
separating the novice from the technical and research literature.
Finance and energy markets have been an active scientific field for
some time, even though the development and applications of
sophisticated quantitative methods in these areas are relatively
new-and referred to in a broader context as energy finance. Energy
finance is often viewed as a branch of mathematical finance, yet
this area continues to provide a rich source of issues that are
fuelling new and exciting research developments. Based on a special
thematic year at the Wolfgang Pauli Institute (WPI) in Vienna,
Austria, this edited collection features cutting-edge research from
leading scientists in the fields of energy and commodity finance.
Topics discussed include modeling and analysis of energy and
commodity markets, derivatives hedging and pricing, and optimal
investment strategies and modeling of emerging markets, such as
power and emissions. The book also confronts the challenges one
faces in energy markets from a quantitative point of view, as well
as the recent advances in solving these problems using advanced
mathematical, statistical and numerical methods. By addressing the
emerging area of quantitative energy finance, this volume will
serve as a valuable resource for graduate-level students and
researchers studying financial mathematics, risk management, or
energy finance.
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