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Market Risk Analysis - Pricing, Hedging and Trading Financial Instruments Volume III +CD

Книга Market Risk Analysis - Pricing, Hedging and Trading Financial Instruments Volume III +CD Carol Alexander
Код Либристо: 04390455
Издателство John Wiley & Sons Inc, май 2008
Written by leading market risk academic, Professor Carol Alexander, Pricing, Hedging and Trading Fin... Цялото описание
? points 351 b
277 лв
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Written by leading market risk academic, Professor Carol Alexander, Pricing, Hedging and Trading Financial Instruments forms part three of the Market Risk Analysis four volume set. This book is an in-depth, practical and accessible guide to the models that are used for pricing and the strategies that are used for hedging financial instruments, and to the markets in which they trade. It provides a comprehensive, rigorous and accessible introduction to bonds, swaps, futures and forwards and options, including variance swaps, volatility indices and their futures and options, to stochastic volatility models and to modelling the implied and local volatility surfaces. All together, the Market Risk Analysis four volume set illustrates virtually every concept or formula with a practical, numerical example or a longer, empirical case study. Across all four volumes there are approximately 300 numerical and empirical examples, 400 graphs and figures and 30 case studies many of which are contained in interactive Excel spreadsheets available from the the accompanying CD-ROM . Empirical examples and case studies specific to this volume include:* Duration-Convexity approximation to bond portfolios, and portfolio immunization;* Pricing floaters and vanilla, basis and variance swaps;* Coupon stripping and yield curve fitting;* Proxy hedging, and hedging international securities and energy futures portfolios;* Pricing models for European exotics, including barriers, Asians, look-backs, choosers, capped, contingent, power, quanto, compo, exchange, 'best-of' and spread options;* Libor model calibration;* Dynamic models for implied volatility based on principal component analysis;* Calibration of stochastic volatility models (Matlab code);* Simulations from stochastic volatility and jump models;* Duration, PV01 and volatility invariant cash flow mappings;* Delta-gamma-theta-vega mappings for options portfolios;* Volatility beta mapping to volatility indices.

Информация за книгата

Пълно заглавие Market Risk Analysis - Pricing, Hedging and Trading Financial Instruments Volume III +CD
Автор Carol Alexander
Език Английски език
Корици Книга - С твърди корици
Дата на издаване 2008
Брой страници 416
Баркод 9780470997895
ISBN 0470997893
Код Либристо 04390455
Издателство John Wiley & Sons Inc
Тегло 908
Размери 175 x 250 x 29
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