Theory of Financial Risk and Derivative Pricing - From Statistical Physics to Risk Management (Hardcover, 2nd Revised edition)

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Summarizing market data developments, some inspired by statistical physics, this book explains how to better predict the actual behavior of financial markets with respect to asset allocation, derivative pricing and hedging, and risk control. Risk control and derivative pricing are major concerns to financial institutions. The need for adequate statistical tools to measure and anticipate amplitude of potential moves of financial markets is clearly expressed, in particular for derivative markets. Classical theories, however, are based on assumptions leading to systematic (sometimes dramatic) underestimation of risks. First edition Hb (2000): 0-521-78232-5

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Product Description

Summarizing market data developments, some inspired by statistical physics, this book explains how to better predict the actual behavior of financial markets with respect to asset allocation, derivative pricing and hedging, and risk control. Risk control and derivative pricing are major concerns to financial institutions. The need for adequate statistical tools to measure and anticipate amplitude of potential moves of financial markets is clearly expressed, in particular for derivative markets. Classical theories, however, are based on assumptions leading to systematic (sometimes dramatic) underestimation of risks. First edition Hb (2000): 0-521-78232-5

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Product Details

General

Imprint

Cambridge UniversityPress

Country of origin

United Kingdom

Release date

December 2003

Availability

Expected to ship within 12 - 17 working days

First published

2003

Authors

,

Dimensions

254 x 178 x 22mm (L x W x T)

Format

Hardcover

Pages

400

Edition

2nd Revised edition

ISBN-13

978-0-521-81916-9

Barcode

9780521819169

Categories

LSN

0-521-81916-4



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