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larcher gerhard - the art of quantitative finance vol. 3

The Art of Quantitative Finance Vol. 3 Risk, Optimal Portfolios, and Case Studies




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Dettagli

Genere:Libro
Lingua: Inglese
Editore:

Springer

Pubblicazione: 04/2023
Edizione: 1st ed. 2023





Trama

The textbook discusses risk management in capital markets and presents various techniques of portfolio optimization. Special attention is given to risk measurement and credit risk management. Furthermore, the author discusses optimal investment problems and presents various examples. In the last section, the book includes numerous case studies based on the author’s own work as a fund manager, court-appointed expert and consultant in the field of quantitative finance. This book is the third volume of the quantitative finance trilogy by the author and builds on the theoretical groundwork introduced in the previous books. The volume presents real-life examples of the successful application of the introduced techniques and methods in financial services and capital markets.





Sommario

Risk measurement and credit risk management.- Optimal investment problems.- Case studies.





Autore

Prof. Gerhard Larcher is full Professor for Financial Mathematics and Head of the Institute for Financial Mathematics and Applied Number Theory at the Johannes Kepler University Linz in Austria. He is the spokesperson of the project 'Quasi-Monte Carlo Methods: Theory and Applications', a special research program funded by the Austrian government.










Altre Informazioni

ISBN:

9783031238666

Condizione: Nuovo
Collana: Springer Texts in Business and Economics
Dimensioni: 235 x 155 mm
Formato: Copertina rigida
Illustration Notes:XIV, 368 p. 212 illus., 207 illus. in color.
Pagine Arabe: 368
Pagine Romane: xiv


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