Financial Models in Production
商品資訊
ISBN13:9783030574956
出版社:Springer Nature
作者:Othmane Kettani
出版日:2020/09/17
裝訂:平裝
規格:23.4cm*15.6cm*0.4cm (高/寬/厚)
定價
:NT$ 4059 元若需訂購本書,請電洽客服 02-25006600[分機130、131]。
商品簡介
商品簡介
This book provides a hands-on guide to how financial models are actually implemented and used in practice, on a daily basis, for pricing and risk-management purposes. It shows how to put these models into use in production while minimizing the cost of implementation and maximizing robustness and control. Addressing some of the most important and cutting-edge issues, it describes how to build the necessary models in order to risk manage all the costs involved in options fabrication within the world of equity derivatives and hybrids. This is achieved by extending classical models and improving them in order to account for complex features. The book is primarily aimed at market practitioners (traders, risk managers, risk control, top managers), as well as Masters students in Quantitative/Mathematical Finance. It will also be useful for instructors hoping to enrich their courses with practical examples. The prerequisites are basic stochastic calculus and a general knowledge of financial markets and financial derivatives.
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