Post-crisis Quant Finance(pdf)

$70.00

Author Mauro Cesa
Edition 1
Edition Year 2013
Format PDF
ISBN 9789781782720072
Language English
Number Of Pages 397
Publisher Risk Books

Description

Post-Crisis Quant Finance is a must-read for quants, statisticians, researchers, risk managers, analysts and economists looking for the latest practical quantitative models designed by expert market practitioners.

“After reading this book it becomes clear that in the future these new and more realistic and accurate models will find wide applications and thus flourish and expand”
Alex Lipton, Bank of America Merrill Lynch and Imperial College

This book outlines practically relevant solutions to the complexities faced by quants post-crisis. Each of the 20 chapters targets a specific technical issue including pricing, hedging and risk management of financial securities.

Additional information

Author

Mauro Cesa

Edition

1

Edition Year

2013

Format

PDF

ISBN

9789781782720072

Language

English

Number Of Pages

397

Publisher

Risk Books

Reviews

There are no reviews yet.

Be the first to review “Post-crisis Quant Finance(pdf)”

Your email address will not be published. Required fields are marked *