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Nonlinear Valuation and Non-Gaussian Risks in Finance

Dilip B. Madan

Parastā cena €122,52
Akcijas cena €122,52 Parastā cena €130,00 Izpārdošana

Mums ir noliktavā

Paredzamā piegāde
Venipak pakomāts 22.–27. jūnija
DHL Express 20.–21. jūnija
Autorius Dilip B. Madan
Leidimo metai 2022 m.
Puslapių skč. 281 psl.
Viršelis Kietas viršelis
ISBN 9781316518090
Kategorijos Finanses

Nonlinear Valuation and Non-Gaussian Risks in Finance

Explore the complexities of financial risk with Nonlinear Valuation and Non-Gaussian Risks in Finance by Dilip B. Madan, published by Cambridge University Press in 2022. This insightful hardback edition spans 281 pages and is designed for both practitioners and researchers in the field of financial risk management.

Dilip B. Madan introduces innovative methodologies for describing and valuing risk, offering fresh perspectives on traditional financial challenges. Each concept is meticulously illustrated using real financial market data, making the material accessible and applicable. The book delves into both univariate and multivariate problems, as well as static and dynamic modeling, providing a comprehensive toolkit for tackling complex financial issues.

Whether you're looking to enhance your understanding of financial risk or seeking novel solutions to classical problems, this book is an essential addition to your library.

Book cover of: Nonlinear Valuation and Non-Gaussian Risks in Finance. By: Dilip B. Madan

Nonlinear Valuation and Non-Gaussian ...

Parastā cena €122,52
Akcijas cena €122,52 Parastā cena €130,00