Volatility as an Asset Class (Paperback)

Language: English

Published by Peter Lang AG, Bern, 2015

3631655762 / 9783631655764

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  • Softcover
  • New
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Paperback. Volatility derivatives are an important group of financial instruments and their list is much longer than volatility index futures and options. This book reviews methods used for measurement, estimation and forecasting volatility and presents major classes of volatility derivatives and their possible applications in investment strategies and portfolio optimization. Since volatility is not constant, its term structure and the phenomenon of the volatility risk premium are discussed in view of the permanently instable relation between realized and implied volatility. The study proposes a method to use this information in the process of forecasting future values of volatility. Volatility derivatives are today an important group of financial instruments. This book presents an overview of their major classes and their possible applications in investment strategies and portfolio optimization. Volatility is not constant so the book presents its term structure and its potential use in forecasting volatility. Shipping may be from our Sydney, NSW warehouse or from our UK or US warehouse, depending on stock availability.

Seller Inventory # 9783631655764

Title
Volatility as an Asset Class (Paperback)
Author
Juliusz Jablecki
Publisher
Peter Lang AG, Bern
Publication year
2015
Condition
new
Binding
Paperback
Language
English
ISBN 10
3631655762
ISBN 13
9783631655764
Edition
1st Edition

AussieBookSeller

Truganina, VIC, Australia

5-star seller

AbeBooks seller since June 22, 2007

Shipping rates from Australia to U.S.A.

Item25 to 45 business days8 to 14 business days
First item£ 27.41£ 32.59
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The Nile Group Pty Ltd

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Truganina, VIC Australia 3029