Financial Modeling Under Non-Gaussian Distributions

Language: English

Published by Springer London Ltd, GB, 2010

1849965994 / 9781849965996

Series: Book 25 of 53 - Springer Finance

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Non-Gaussian distributions are the key theme of this book which addresses the causes and consequences of non-normality and time dependency in both asset returns and option prices. The aim is to bridge the gap between theoretical developments and the practical implementations of what many users and researchers perceive as "sophisticated" models. The emphasis throughout is on practice: there are abundant empirical illustrations of the models and techniques described, many of which could be equally applied to other financial time series, such as exchange and interest rates. This book will be an essential reference for practitioners in the finance industry, especially those responsible for managing portfolios and monitoring financial risk, but it will also be useful for mathematicians who want to know more about how their mathematical tools are applied in finance, and as a text for advanced courses in empirical finance; financial econometrics and financial derivatives. Softcover reprint of hardcover 1st ed. 2007.

Seller Inventory # LU-9781849965996

Title
Financial Modeling Under Non-Gaussian Distributions
Author
Eric Jondeau, Ser-Huang Poon, Michael Rockinger
Publisher
Springer London Ltd, GB
Publication year
2010
Condition
New
Binding
Paperback
Language
English
ISBN 10
1849965994
ISBN 13
9781849965996
Series
Book 25 of 53: Springer Finance

Rarewaves.com UK

London, United Kingdom

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