Risk-Neutral Valuation (Paperback)

Language: English

Published by Springer London Ltd, England, 2010

184996873X / 9781849968737

Series: Book 15 of 53 - Springer Finance

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Paperback. Since its introduction in the early 1980s, the risk-neutral valuation principle has proved to be an important tool in the pricing and hedging of financial derivatives.Following the success of the first edition of Risk-Neutral Valuation, the authors have thoroughly revised the entire book, taking into account recent developments in the field, and changes in their own thinking and teaching.In particular, the chapters on Incomplete Markets and Interest Rate Theory have been updated and extended, there is a new chapter on the important and growing area of Credit Risk and, in recognition of the increasing popularity of Levy finance, there is considerable new material on:Infinite divisibility and Levy processesLevy-based models in incomplete marketsFurther material such as exercises, solutions to exercises and lecture slides are also available via the web to provide additional support for lecturers. This second edition - completely up to date with new exercises - provides a comprehensive and self-contained treatment of the probabilistic theory behind the risk-neutral valuation principle and its application to the pricing and hedging of financial derivatives. Shipping may be from our Sydney, NSW warehouse or from our UK or US warehouse, depending on stock availability.

Seller Inventory # 9781849968737

Title
Risk-Neutral Valuation (Paperback)
Author
Nicholas H. Bingham
Publisher
Springer London Ltd, England
Publication year
2010
Condition
new
Binding
Paperback
Language
English
ISBN 10
184996873X
ISBN 13
9781849968737
Edition
2nd Edition
Series
Book 15 of 53: Springer Finance

AussieBookSeller

Truganina, VIC, Australia

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AbeBooks seller since June 22, 2007

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