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Monte Carlo Methods in Finance

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An invaluable resource for quantitative analysts who need to run models that assist in option pricing and risk management. This concise, practical hands on guide to Monte Carlo simulation introduces standard and advanced methods to the increasing complexity of derivatives portfolios. Ranging from pricing more complex derivatives, such as American and Asian options, to measuring Value at Risk, or modelling complex market dynamics, simulation is the only method general enough to capture the complexity and Monte Carlo simulation is the best pricing and risk management method available.The book is packed with numerous examples using real world data and is supplied with a CD to aid in the use of the examples.

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Monte Carlo Methods in Finance, Peter Jäckel

Sprache
Erscheinungsdatum
2002
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(Hardcover)
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Titel
Monte Carlo Methods in Finance
Sprache
Englisch
Autor*innen
Peter Jäckel
Erscheinungsdatum
2002
Einband
Hardcover
Seitenzahl
304
ISBN10
047149741X
ISBN13
9780471497417
Reihe
Bewertung
4,35 von 5 Sternen
Beschreibung
An invaluable resource for quantitative analysts who need to run models that assist in option pricing and risk management. This concise, practical hands on guide to Monte Carlo simulation introduces standard and advanced methods to the increasing complexity of derivatives portfolios. Ranging from pricing more complex derivatives, such as American and Asian options, to measuring Value at Risk, or modelling complex market dynamics, simulation is the only method general enough to capture the complexity and Monte Carlo simulation is the best pricing and risk management method available.The book is packed with numerous examples using real world data and is supplied with a CD to aid in the use of the examples.