Theory of Financial Risks

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This book summarizes recent theoretical developments inspired by statistical physics in the description of the potential moves in financial markets, and its application to derivative pricing and risk control. The possibility of accessing and processing huge quantities of data on financial markets opens the path to new methodologies where systematic comparison between theories and real data not onl...
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pdf
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35.00 £
This book summarizes recent theoretical developments inspired by statistical physics in the description of the potential moves in financial markets, and its application to derivative pricing and risk control. The possibility of accessing and processing huge quantities of data on financial markets opens the path to new methodologies where systematic comparison between theories and real data not onl...
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  • Formats: pdf
  • ISBN: 9780511030987
  • Publication Date: 17 Aug 2000
  • Publisher: Cambridge University Press
  • Product language: English
  • Drm Setting: DRM