Modeling The Market: New Theories And Techniques
商品資訊
ISBN13:9781883249120
出版社:John Wiley & Sons Inc
作者:Focardi
出版日:1997/01/01
裝訂/頁數:精裝/302頁
定價
:NT$ 5725 元優惠價
:
90 折 5153 元
若需訂購本書,請電洽客服 02-25006600[分機130、131]。
商品簡介
作者簡介
目次
商品簡介
The authors have done an admirable job...This book is a revealing and fascinating glimpse of the technologies which may rule the financial world in the years to come. --The Financial Times, February 1997
[This] new book looks at the progress made, both in practice and in theory, toward producing a usable model of the market. Some of the theoretical foundations of efficient market theory are being demolished.
[This] new book looks at the progress made, both in practice and in theory, toward producing a usable model of the market. Some of the theoretical foundations of efficient market theory are being demolished.
作者簡介
Sergio Focardi is a partner of The Intertek Group. He has authored and co-authored numerous articles, reports, and books on simulation and adaptive methods in research and industry.
Caroline Jonas is a partner of the Intertek Group. She has co-authored reports on advanced computational methods in banking and finance.
Caroline Jonas is a partner of the Intertek Group. She has co-authored reports on advanced computational methods in banking and finance.
目次
About the Authors.
Preface.
Acknowledgements.
PART I: CONCEPT AND METHODS.
1. Basic Concepts.
2. Modeling Under Equilibrium.
3. Technology Developments in the Classical Framework.
4. Models of Non-Equilibrium Markets and Non-Linear Methods.
PART II: IMPLEMENTATION.
5. Investment Management.
6. Trading.
7. Risk Management.
8. The Outlook for Adaptive Methods in Finance.
PART III: ISSUES AND THE MARKET.
9. The Market for Products and Services.
10. Technology Issues.
11. Management Issues.
12. Future Scenarios.
PART IV: THE MATHEMATICS OF UNCERTAINTY AND LEARNING.
13. The Mathematical Handling of Uncertainty.
14. The Representation of Security Markets.
15. The Representation of Market Constraints and Asset Pricing.
16. At the Frontier of Research.
17. Adaptive Computational Methods.
Preface.
Acknowledgements.
PART I: CONCEPT AND METHODS.
1. Basic Concepts.
2. Modeling Under Equilibrium.
3. Technology Developments in the Classical Framework.
4. Models of Non-Equilibrium Markets and Non-Linear Methods.
PART II: IMPLEMENTATION.
5. Investment Management.
6. Trading.
7. Risk Management.
8. The Outlook for Adaptive Methods in Finance.
PART III: ISSUES AND THE MARKET.
9. The Market for Products and Services.
10. Technology Issues.
11. Management Issues.
12. Future Scenarios.
PART IV: THE MATHEMATICS OF UNCERTAINTY AND LEARNING.
13. The Mathematical Handling of Uncertainty.
14. The Representation of Security Markets.
15. The Representation of Market Constraints and Asset Pricing.
16. At the Frontier of Research.
17. Adaptive Computational Methods.
主題書展
更多
主題書展
更多書展購物須知
外文書商品之書封,為出版社提供之樣本。實際出貨商品,以出版社所提供之現有版本為主。部份書籍,因出版社供應狀況特殊,匯率將依實際狀況做調整。
無庫存之商品,在您完成訂單程序之後,將以空運的方式為你下單調貨。為了縮短等待的時間,建議您將外文書與其他商品分開下單,以獲得最快的取貨速度,平均調貨時間為1~2個月。
為了保護您的權益,「三民網路書店」提供會員七日商品鑑賞期(收到商品為起始日)。
若要辦理退貨,請在商品鑑賞期內寄回,且商品必須是全新狀態與完整包裝(商品、附件、發票、隨貨贈品等)否則恕不接受退貨。

