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Modelling Financial Derivatives with MATHEMATICA ®
Modelling Financial Derivatives with MATHEMATICA ®

One of the most important tasks in finance is to find good mathematical models for financial products, in particular derivatives. However, the more realistic the model, the more practitioners face still-unsolved problems in rigorous mathematics and econometrics, in addition to serious numerical difficulties. The idea behind this book is to...

Multivariate Time Series Analysis: With R and Financial Applications
Multivariate Time Series Analysis: With R and Financial Applications

An accessible guide to the multivariate time series tools used in numerous real-world applications

Multivariate Time Series Analysis: With R and Financial Applications is the much anticipated sequel coming from one of the most influential and prominent experts on the topic of time series. Through a...

The Design of Climate Policy (CESifo Seminar Series)
The Design of Climate Policy (CESifo Seminar Series)
Debates over post-Kyoto Protocol climate change policy often take note of two issues: the feasibility and desirability of international cooperation on climate change policies, given the failure of the United States to ratify Kyoto and the very limited involvement of developing countries, and the optimal timing of climate policies. In this book...
Handbook of Matrices
Handbook of Matrices
Nowadays matrices are used in many fields of science, Accordingly they have become standard tools in statistics, econometrics, mathematics, engineering and natural sciences textbooks, In fact, many textbooks from these fields have chapters, appendices or sections on matrices, Often collections of those results used in a book are included, Of...
Mathematics for Econometrics
Mathematics for Econometrics

This book deals with a number of mathematical topics that are of great importance in the study of classical econometrics. There is a lengthy chapter on matrix algebra, which takes the reader from the most elementary aspects to the partitioned inverses, characteristic roots and vectors, symmetric, and orthogonal and positive (semi) definite...

Credit Risk Modeling using Excel and VBA (The Wiley Finance Series)
Credit Risk Modeling using Excel and VBA (The Wiley Finance Series)
In today's increasingly competitive financial world, successful risk management, portfolio management, and financial structuring demand more than up-to-date financial know-how. They also call for quantitative expertise, including the ability to effectively apply mathematical modeling tools and techniques, in this case credit.

Credit Risk...

Event History Analysis with R (Chapman & Hall/CRC The R Series)
Event History Analysis with R (Chapman & Hall/CRC The R Series)

With an emphasis on social science applications, Event History Analysis with R presents an introduction to survival and event history analysis using real-life examples. Keeping mathematical details to a minimum, the book covers key topics, including both discrete and continuous time data, parametric proportional...

Principles of Econometrics
Principles of Econometrics
Principles of Econometrics, 4th edition, is an introductory book for undergraduate students in economics and finance, as well as for first-year graduate students in economics, finance, accounting, agricultural economics, marketing, public policy, sociology, law, and political science. It is assumed that students have taken courses in...
Simple Adaptive Strategies: From Regret-Matching to Uncoupled Dynamics (World Scientific Series in Economic Theory)
Simple Adaptive Strategies: From Regret-Matching to Uncoupled Dynamics (World Scientific Series in Economic Theory)

This volume collects almost two decades of joint work of Sergiu Hart and Andreu Mas-Colell on game dynamics and equilibria. The starting point was the introduction of the adaptive strategy called regret-matching, which on the one hand is simple and natural, and on the other is shown to lead to correlated equilibria. This initial finding...

   
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