Derivatives in Financial Markets with Stochastic Volatility

Language: English

Published by Cambridge University Press, GB, 2000

0521791634 / 9780521791632

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Seller: Rarewaves.com UK, London, United KingdomRarewaves.com UK

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This book, first published in 2000, addresses problems in financial mathematics of pricing and hedging derivative securities in an environment of uncertain and changing market volatility. These problems are important to investors from large trading institutions to pension funds. It presents mathematical and statistical tools that exploit the bursty nature of market volatility. The mathematics is introduced through examples and illustrated with simulations and the modeling approach that is described is validated and tested on market data. The material is suitable for a one semester course for graduate students who have had exposure to methods of stochastic modeling and arbitrage pricing theory in finance. It is easily accessible to derivatives practitioners in the financial engineering industry.

Seller Inventory # LU-9780521791632

Title
Derivatives in Financial Markets with Stochastic Volatility
Author
Jean-Pierre Fouque, George Papanicolaou, K. Ronnie Sircar
Publisher
Cambridge University Press, GB
Publication year
2000
Condition
New
Binding
Hardback
Language
English
ISBN 10
0521791634
ISBN 13
9780521791632
Item weight
440 grams

Rarewaves.com UK

London, United Kingdom

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