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Economics/Finances Simulation Techniques in Financial Risk Management (repost)

Posted on 2010-03-16




Name:Economics/Finances Simulation Techniques in Financial Risk Management (repost)
ASIN/ISBN:0471469874
Language:English
File size:7.8 Mb
Publish Date: 2006
ISBN: 0471469874
Pages: 240 pages
File Type: PDF
File Size: 7,8 MB
Other Info: Wiley-Interscience
   Economics/Finances Simulation Techniques in Financial Risk Management (repost)

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Ngai Hang Chan, Hoi-Ying Wong, "Simulation Techniques in Financial Risk Management"

This unique resource provides simulation techniques for financial risk managers ensuring you become well versed in many recent innovations, including Gibbs sampling, the use of heavy-tailed distributions in VaR calculations, construction of volatility smile, and state space modeling. The authors illustrate key concepts with examples and case studies you can reproduce using either S-PLUS® or Visual Basic® and provide exercises so you can apply new concepts and test your knowledge.

Simulation Techniques in Financial Risk Management is invaluable both as a resource for risk managers in the financial and actuarial industries and as a coursebook for upper-level undergraduate and graduate courses in simulation and risk management.

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