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финансовые инструменты

Handbook of High-Frequency Trading and Modeling in Finance
3
Reflecting the fast pace and ever-evolving nature of the financial industry, the Handbook of High-Frequency Trading and Modeling in Finance details how high-frequency analysis presents new systematic approaches to implementing quantitative activities…
Reflecting the fast pace and ever-evolving nature of the financial industry, the Handbook of High-Frequency Trading and Modeling in Finance details how high-frequency analysis presents new systematic approaches to implementing quantitative activities…
Handbook of Multi-Commodity Markets and Products. Structuring, Trading and Risk Management
5
The comprehensive guide to working more effectively within the multi-commodity market. The Handbook of Multi-Commodity Markets and Products is the definitive desktop reference for traders, structurers, and risk managers who wish to broaden their know…
The comprehensive guide to working more effectively within the multi-commodity market. The Handbook of Multi-Commodity Markets and Products is the definitive desktop reference for traders, structurers, and risk managers who wish to broaden their know…
Handbook of Exchange Rates
3
Praise for Handbook of Exchange Rates “This book is remarkable. I expect it to become the anchor reference for people working in the foreign exchange field.” —Richard K. Lyons, Dean and Professor of Finance, Haas School of Business, University of Cal…
Praise for Handbook of Exchange Rates “This book is remarkable. I expect it to become the anchor reference for people working in the foreign exchange field.” —Richard K. Lyons, Dean and Professor of Finance, Haas School of Business, University of Cal…
Handbook of Volatility Models and Their Applications
5
A complete guide to the theory and practice of volatility models in financial engineering Volatility has become a hot topic in this era of instant communications, spawning a great deal of research in empirical finance and time series econometrics. Pr…
A complete guide to the theory and practice of volatility models in financial engineering Volatility has become a hot topic in this era of instant communications, spawning a great deal of research in empirical finance and time series econometrics. Pr…
Handbook of Modeling High-Frequency Data in Finance
4
CUTTING-EDGE DEVELOPMENTS IN HIGH-FREQUENCY FINANCIAL ECONOMETRICS In recent years, the availability of high-frequency data and advances in computing have allowed financial practitioners to design systems that can handle and analyze this information.…
CUTTING-EDGE DEVELOPMENTS IN HIGH-FREQUENCY FINANCIAL ECONOMETRICS In recent years, the availability of high-frequency data and advances in computing have allowed financial practitioners to design systems that can handle and analyze this information.…
Inspiring Stewardship
4
Transform from leader to steward to drive growth and make an impact Inspiring Stewardship helps leaders drive sustainable development and growth by balancing short- and long-term objectives amidst competing interests. By examining a range of exceptio…
Transform from leader to steward to drive growth and make an impact Inspiring Stewardship helps leaders drive sustainable development and growth by balancing short- and long-term objectives amidst competing interests. By examining a range of exceptio…
Mochtar Riady. My Life Story
3
Track the exponential rise of one of the world's most successful businessmen Mochtar Riady: My Life Story provides an unprecedented look at the life of one of Southeast Asia's most respected business titans. Internationally recognised for his profess…
Track the exponential rise of one of the world's most successful businessmen Mochtar Riady: My Life Story provides an unprecedented look at the life of one of Southeast Asia's most respected business titans. Internationally recognised for his profess…
Risk Analysis
5
Risk Analysis, Second Edition Terje Aven, University of Stavanger, Norway A practical guide to the varied challenges presented in the ever-growing field of risk analysis. Risk Analysis presents an accessible and concise guide to performing risk analy…
Risk Analysis, Second Edition Terje Aven, University of Stavanger, Norway A practical guide to the varied challenges presented in the ever-growing field of risk analysis. Risk Analysis presents an accessible and concise guide to performing risk analy…
Долги тают на глазах
3
Эта книга написана человеком, который сам прошёл через унижения и страдания, оказавшись в долгах. Преодолевая неимоверные трудности и решая возникающие проблемы, он сумел выбраться из долговой ямы, постепенно закрыв все свои долги, а их было н…
Эта книга написана человеком, который сам прошёл через унижения и страдания, оказавшись в долгах. Преодолевая неимоверные трудности и решая возникающие проблемы, он сумел выбраться из долговой ямы, постепенно закрыв все свои долги, а их было н…
Я и деньги 2
5
Эта книга является продолжением известного бестселлера Саидмурода Давлатова «Я и деньги. Часть первая». Она поможет вам найти свой путь к финансовой свободе через построение крепкого фундамента, а для этого научит стратегическому планированию,…
Эта книга является продолжением известного бестселлера Саидмурода Давлатова «Я и деньги. Часть первая». Она поможет вам найти свой путь к финансовой свободе через построение крепкого фундамента, а для этого научит стратегическому планированию,…
Как заработать на криптовалютах и блокчейне. Объясняем на пальцах
4
Высокие технологии породили новый финансовый инструмент – криптовалюты. Их доходность баснословно высока, юные программисты и азартные бизнесмены, сделавшие ставку на революционный финансовый продукт, в мгновение ока прославились и превратились в мул…
Высокие технологии породили новый финансовый инструмент – криптовалюты. Их доходность баснословно высока, юные программисты и азартные бизнесмены, сделавшие ставку на революционный финансовый продукт, в мгновение ока прославились и превратились в мул…
Как инвестировать, если в кармане меньше миллиона
4
Перед вами азбука инвестора, из которой вы узнаете, как получать пассивный доход, освободиться от рутины и стать автором своей жизни. Станислав Тихонов – один из самых востребованных коучей по инвестированию в России. В своем руководстве по инвестиро…
Перед вами азбука инвестора, из которой вы узнаете, как получать пассивный доход, освободиться от рутины и стать автором своей жизни. Станислав Тихонов – один из самых востребованных коучей по инвестированию в России. В своем руководстве по инвестиро…
Counterparty Credit Risk, Collateral and Funding. With Pricing Cases For All Asset Classes
3
The book’s content is focused on rigorous and advanced quantitative methods for the pricing and hedging of counterparty credit and funding risk. The new general theory that is required for this methodology is developed from scratch, leading to a cons…
The book’s content is focused on rigorous and advanced quantitative methods for the pricing and hedging of counterparty credit and funding risk. The new general theory that is required for this methodology is developed from scratch, leading to a cons…
The SABR/LIBOR Market Model. Pricing, Calibration and Hedging for Complex Interest-Rate Derivatives
4
This book presents a major innovation in the interest rate space. It explains a financially motivated extension of the LIBOR Market model which accurately reproduces the prices for plain vanilla hedging instruments (swaptions and caplets) of all stri…
This book presents a major innovation in the interest rate space. It explains a financially motivated extension of the LIBOR Market model which accurately reproduces the prices for plain vanilla hedging instruments (swaptions and caplets) of all stri…
Stochastic Simulation and Applications in Finance with MATLAB Programs
3
Stochastic Simulation and Applications in Finance with MATLAB Programs explains the fundamentals of Monte Carlo simulation techniques, their use in the numerical resolution of stochastic differential equations and their current applications in financ…
Stochastic Simulation and Applications in Finance with MATLAB Programs explains the fundamentals of Monte Carlo simulation techniques, their use in the numerical resolution of stochastic differential equations and their current applications in financ…
The Handbook of Convertible Bonds. Pricing, Strategies and Risk Management
3
This is a complete guide to the pricing and risk management of convertible bond portfolios. Convertible bonds can be complex because they have both equity and debt like features and new market entrants will usually find that they have either a knowle…
This is a complete guide to the pricing and risk management of convertible bond portfolios. Convertible bonds can be complex because they have both equity and debt like features and new market entrants will usually find that they have either a knowle…
Dynamic Copula Methods in Finance
3
The latest tools and techniques for pricing and risk management This book introduces readers to the use of copula functions to represent the dynamics of financial assets and risk factors, integrated temporal and cross-section applications. The first …
The latest tools and techniques for pricing and risk management This book introduces readers to the use of copula functions to represent the dynamics of financial assets and risk factors, integrated temporal and cross-section applications. The first …
Professional Financial Computing Using Excel and VBA
4
"Professional Financial Computing Using Excel and VBA is an admirable exposition that bridges the theoretical underpinnings of financial engineering and its application which usually appears as a «black-box» software application. The book opens the b…
"Professional Financial Computing Using Excel and VBA is an admirable exposition that bridges the theoretical underpinnings of financial engineering and its application which usually appears as a «black-box» software application. The book opens the b…
Advanced Equity Derivatives. Volatility and Correlation
4
In Advanced Equity Derivatives: Volatility and Correlation, Sébastien Bossu reviews and explains the advanced concepts used for pricing and hedging equity exotic derivatives. Designed for financial modelers, option traders and sophisticated investors…
In Advanced Equity Derivatives: Volatility and Correlation, Sébastien Bossu reviews and explains the advanced concepts used for pricing and hedging equity exotic derivatives. Designed for financial modelers, option traders and sophisticated investors…
Handbook of Financial Risk Management. Simulations and Case Studies
5
An authoritative handbook on risk management techniques and simulations as applied to financial engineering topics, theories, and statistical methodologies The Handbook of Financial Risk Management: Simulations and Case Studies illustrates the prac­t…
An authoritative handbook on risk management techniques and simulations as applied to financial engineering topics, theories, and statistical methodologies The Handbook of Financial Risk Management: Simulations and Case Studies illustrates the prac­t…

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