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Economics%2FFinances Advanced Derivatives Pricing and Risk Management: Theory, Tools, and Hands On Programming Applications
Economics%2FFinances Advanced Derivatives Pricing and Risk Management: Theory, Tools, and Hands On Programming Applications
Economics%2FFinances Advanced Derivatives Pricing and Risk Management: Theory, Tools, and Hands On Programming Applications
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Economics/Finances Advanced Derivatives Pricing and Risk Management: Theory, Tools, and Hands-On Programming ApplicatiOns |
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Claudio Albanese, Giuseppe Campolieti , "Advanced Derivatives Pricing and Risk Management: Theory, Tools, and Hands-On Programming Applications"Academic Press; Har/Cdr edition (September 8, 2005); ISBN:0120476827; 426 pages; PDF; 4,2 ... Tags : None, Posted on 2010-03-15 | |
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Advanced Derivatives Pricing and Risk Management: Theory, Tools, and Hands-On Programming ApplicatiOns (Academic Press Advanced Finance Series) |
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Author: Giuseppe Campolieti, Claudio AlbanesePublisher: Academic Press (2005)Binding: Hardcover, 426 pagespricer: $96.95ISBN-10: 0120476827editorialreviewsWritten by leading academics and practitioners in the field of financial mathematics, ... Tags : Pricing Programming Theory Applications Finance , Posted on 2010-04-13 | |
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Audiobooks & Video Training Advanced Derivatives Pricing and Risk Management By Claudio Albanese, Giuseppe Campolieti [Reup] |
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Claudio Albanese, Giuseppe Campolieti, «Advanced Derivatives Pricing and Risk Management: Theory, Tools, and Hands-On Programming Applications (Academic Press Advanced Finance)»Publisher: Academic Press (September 8, 2005); ISBN-10: 0120 ... Tags : Pricing Giuseppe Management Advanced Albanese , Posted on 2010-10-15 | |
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Business/Investing Energy Derivatives: Pricing and Risk Management |
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Author: Clewlow, Les and Strickland, ChrisPublisher: Lacima GroupPublish Date: 2000ISBN: 0953889602this is one of the best books on energy risk management, modeling energy products, like the mean reverting model, how to get the mean reverti ... Tags : Energy Pricing Management Derivatives Risk , Posted on 2010-03-16 | |
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Audiobooks & Video Training Gunter Meissner - Credit Derivatives: ApplicatiOn, Pricing, and Risk Management |
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Gunter Meissner - Credit Derivatives: Application, Pricing, and Risk ManagementPublisher: Wiley-Blackwell; 2005-02-18; ISBN: 1405126760; PDF; 248 pages; 1.10 MBThe market for credit derivatives--financial instruments designed to transf ... Tags : Gunter Pricing Credit Management Application , Posted on 2010-09-29 | |
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Theory of Financial Risk and Derivative Pricing : From Statistical Physics to Risk Management |
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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 ... Tags : Pricing Physics Theory Management Risk , Posted on 2010-04-10 | |
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Theory of Financial Risk and Derivative Pricing: From Statistical Physics to Risk Management |
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"- О! Причем тут деньги! Такая ночь и вдруг какие-то деньги." (C) /Ильф и Петров. 12 стульев/Думается мне, Киса все-таки был не прав. С этими ... Tags : Pricing Physics Theory Management Risk , Posted on 2010-04-14 | |
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Economics/Finances Theory of Financial Risk and Derivative Pricing: From Statistical Physics to Risk Management (ReUp) |
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Jean-Philippe Bouchaud, Marc Potters, "Theory of Financial Risk and Derivative Pricing: From Statistical Physics to Risk Management" Cambridge University Press 2004; ISBN-10: 0521819164; 400 Pages; PDF; 35,2 MB Summarizing market data ... Tags : Pricing Physics Theory Management Risk , Posted on 2010-03-16 | |
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Risk Management and Value: ValuatiOn and Asset Pricing (World Scientific Studies in InternatiOnal EcOnomics) |
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Author: Publisher: World Scientific Publishing Company (2008)Binding: Hardcover, 644 pagespricer: $178.00ISBN-10: 9812770739editorialreviewsThis book provides a comprehensive discussion of the issues related to risk, volatility, value and r ... Tags : Valuation Pricing Asset Studies Economics , Posted on 2010-04-14 | |
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Financial Risk Management with Bayesian EstimatiOn of GARCH Models: Theory and ApplicatiOns (Lecture Notes in EcOnomics and Mathematical Systems) |
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Author: David ArdiaPublisher: Springer (2008)Binding: Paperback, 206 pagespricer: $99.00ISBN-10: 3540786562editorialreviewsThis book presents methodologies for the Bayesian estimation of GARCH models and their application to financial risk ... Tags : Bayesian Estimation Lecture Economics Theory , Posted on 2010-04-15 | |
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Credit Derivatives: ApplicatiOns for Risk Management, Investment and Portfolio OptimisatiOn |
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Credit Derivatives: Applications for Risk Management, Investment and Portfolio Optimisation By Robert JamesonPublisher: Ri sk Books 1998; 193 Pages; ISBN: 1899332618 , 1899332561; CHM; 2 MBEverything from time-honored options conce ... Tags : None, Posted on 2011-01-08 | |
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Technical C Design Patterns and Derivatives Pricing (Mathematics, Finance and Risk) |
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Tags : Pricing Mathematics Finance Design Derivatives , Posted on 2010-03-15 | |
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