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Köp båda 2 för 2166 krThe book describes how to deal with the different sorts of nancial market risk. The book can be used by advanced undergraduate students and graduate students in its entirety. It is also interesting for the specialists in nancial market risk and is of considerable importance to practitioners in the eld. (Yuliya S. Mishura, zbMath 1410.91004, 2019)
CHAPTER 1 Introduction.- CHAPTER 2 Time Series Modelling.- CHAPTER 3 Options and Options Pricing Models.- CHAPTER 4 Neural Networks and Financial Forecasting.- CHAPTER 5 Important Problems in Financial Forecasting.- CHAPTER 6 Volatility Forecasting.- CHAPTER 7 Option Pricing.- CHAPTER 8 Value-at-Risk.- CHAPTER 9 Conclusion and Discussion.