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Derivatives

von Ji¿í Witzany und Jiří Witzany
Hardcover - 9783030517502
96,29 €
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Softcover - 9783030517533
96,29 €

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Weitere Formate

Softcover - 9783030517533
96,29 €

Beschreibung

This book helps students, researchers and quantitative finance practitioners to understand both basic and advanced topics in the valuation and modeling of financial and commodity derivatives, their institutional framework and risk management. It provides an overview of the new regulatory requirements such as Basel III, the Fundamental Review of the Trading Book (FRTB), Interest Rate Risk of the Banking Book (IRRBB), or the Internal Capital Assessment Process (ICAAP). The reader will also find a detailed treatment of counterparty credit risk, stochastic volatility estimation methods such as MCMC and Particle Filters, and the concepts of model-free volatility, VIX index definition and the related volatility trading. The book can also be used as a teaching material for university derivatives and financial engineering courses.

Theory and Practice of Trading, Valuation, and Risk Management

Theory and Practice of Trading, Valuation, and Risk Management

Details

Verlag Springer International Publishing
Ersterscheinung 05. November 2020
Maße 23.5 cm x 15.5 cm
Gewicht 746 Gramm
Format Hardcover
ISBN-13 9783030517502
Seiten 376

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