Kreditrisikomanagement : Portfoliomodelle und Derivate.
von Andreas Oehler Verlag: Stuttgart : Schäffer-Poeschel
2000. gebundene Ausgabe XI, 190 S. ; Der Erhaltungszustand des hier angebotenen Werks ist trotz seiner Bibliotheksnutzung sehr sauber. Es befindet sich neben dem Rückenschild lediglich ein Bibliotheksstempel im Buch; ordnungsgemäß entwidmet.
Derivatives - Theory and Practice of Trading, Valuation, and Risk Management
von Ji¿í Witzany
2020 Gebunden, 388 Seiten, 241mm x 160mm x 27mm, Sprache(n): eng Covers basic to advanced topics, estimation methods, and modeling of financial and commodity derivativesProvides an overview of recent regulatory requirements related to market risk management and derivatives pricingExplains estima…
Derivatives - Theory and Practice of Trading, Valuation, and Risk Management
von Ji¿í Witzany
2021 Kartoniert, 388 Seiten, 235mm x 155mm x 21mm, Sprache(n): eng Covers basic to advanced topics, estimation methods, and modeling of financial and commodity derivativesProvides an overview of recent regulatory requirements related to market risk management and derivatives pricingExplains esti…
Furan Derivatives - Recent Advances and Applications
2022 Gebunden, 120 Seiten, 266mm x 185mm x 13mm, Sprache(n): eng The modern world is moving towards sustainable development and furan is a key material in this transition. Furan is processed from furfural, which is an organic compound obtained from biomass feedstock. Thus, furan is a green and e…
Financial Derivatives - Futures, Forwards, Swaps, Options, Corporate Securities, and Credit Defaul…
von George Michael Constantinides
2014 Gebunden, 232 Seiten, 235mm x 157mm x 17mm, Sprache(n): eng, sun Derivatives markets are an important and growing segment of financial markets and play an important role in the management of risk. This invaluable set of lecture notes is meant to be used in conjunction with a standard textbo…
Financial Derivatives
von Simon Grima, Eleftherios I. Thalassinos
2020 Gebunden, 250 Seiten, 235mm x 157mm x 18mm, Sprache(n): eng Should we fear financial derivatives, or embrace them? Finance experts Simon Grima and Eleftherios I. Thalassinos explore what financial derivatives are, and whether the investment world should consider them useful tools, or a comp…
Derivatives Dynamics - Navigating Risk and Innovation
von Alex Thompson
2023 Kartoniert, 150 Seiten, 216mm x 140mm x 9mm, Sprache(n): eng In the ever-evolving landscape of finance, derivatives stand as both powerful tools and drivers of innovation. "Derivatives Dynamics: Navigating Risk and Innovation" takes you on a journey through the complex world of derivatives,…
Derivatives Algorithms - Volume 1: Bones (2nd Edition)
von Tom Hyer
2015 Gebunden, 348 Seiten, 235mm x 157mm x 23mm, Sprache(n): eng Derivatives Algorithms - Volume 1: Bones (Second Edition) is for practicing quants who already have some expertise in risk-neutral pricing and in programming, and want to build a reusable and extensible library. Rather than specifi…
Weather Derivatives - Modeling and Pricing Weather-Related Risk
von Achilleas D. Zapranis, Antonis Alexandridis K.
2012 Gebunden, 316 Seiten, 241mm x 160mm x 21mm, Sprache(n): eng First book to examine the advantages and disadvantages of existing modeling and pricing methodologies associated with weather derivativesPresents state-of-the-art tools and strategies for studying weather variablesLinks weather var…
Weather Derivatives - Modeling and Pricing Weather-Related Risk
von Achilleas D. Zapranis, Antonis Alexandridis K.
2014 Kartoniert, 316 Seiten, 235mm x 155mm x 18mm, Sprache(n): eng First book to examine the advantages and disadvantages of existing modeling and pricing methodologies associated with weather derivatives Presents state-of-the-art tools and strategies for studying weather variables Links weath…
- Volltext
- Derivate
- Preis
- 100€ bis 300€
Speichern Sie Ihre Suche als Auftrag für einen späteren Zeitpunkt und lassen Sie sich bei neu eintreffenden Artikeln automatisch per E-Mail benachrichtigen (optional)!