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Economics/Finances A Benchmark Approach to Quantitative Finance (Repost)

Posted on 2010-05-18




Name:Economics/Finances A Benchmark Approach to Quantitative Finance (Repost)
ASIN/ISBN:3540262121
File size:10.1 Mb
ISBN: 3540262121
Pages: 700 pages
File Type: PDF
File Size: 10,1 Mb
Other Info: Springer; 1 edition (November 14, 2006)
   Economics/Finances A Benchmark Approach to Quantitative Finance (Repost)

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Eckhard Platen, David Heath, "A Benchmark Approach to Quantitative Finance"

The benchmark approach provides a general framework for financial market modeling, which extends beyond the standard risk-neutral pricing theory. It permits a unified treatment of portfolio optimization, derivative pricing, integrated risk management and insurance risk modeling. The existence of an equivalent risk-neutral pricing measure is not required. Instead, it leads to pricing formulae with respect to the real-world probability measure. This yields important modeling freedom which turns out to be necessary for the derivation of realistic, parsimonious market models.

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