Interest Rate Modeling: Post-Crisis Challenges and Approaches (Paperback, 1st ed. 2015)

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Filling a gap in the literature caused by the recent financial crisis, this book provides a treatment of the techniques needed to model and evaluate interest rate derivatives according to the new paradigm for fixed income markets. Concerning this new development, there presently exist only research articles and two books, one of them an edited volume, both being written by researchers working mainly in practice. The aim of this book is to concentrate primarily on the methodological side, thereby providing an overview of the state-of-the-art and also clarifying the link between the new models and the classical literature. The book is intended to serve as a guide for graduate students and researchers as well as practitioners interested in the paradigm change for fixed income markets. A basic knowledge of fixed income markets and related stochastic methodology is assumed as a prerequisite.

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Product Description

Filling a gap in the literature caused by the recent financial crisis, this book provides a treatment of the techniques needed to model and evaluate interest rate derivatives according to the new paradigm for fixed income markets. Concerning this new development, there presently exist only research articles and two books, one of them an edited volume, both being written by researchers working mainly in practice. The aim of this book is to concentrate primarily on the methodological side, thereby providing an overview of the state-of-the-art and also clarifying the link between the new models and the classical literature. The book is intended to serve as a guide for graduate students and researchers as well as practitioners interested in the paradigm change for fixed income markets. A basic knowledge of fixed income markets and related stochastic methodology is assumed as a prerequisite.

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Product Details

General

Imprint

Springer International Publishing AG

Country of origin

Switzerland

Series

SpringerBriefs in Quantitative Finance

Release date

February 2016

Availability

Expected to ship within 10 - 15 working days

First published

2015

Authors

,

Dimensions

235 x 155 x 14mm (L x W x T)

Format

Paperback

Pages

140

Edition

1st ed. 2015

ISBN-13

978-3-319-25383-1

Barcode

9783319253831

Categories

LSN

3-319-25383-2



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