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Financial Modelling : theory, implementation and practice (with MATLAB source)
Financial Modelling - Theory, Implementation and Practice is a unique combination of quantitative techniques, the application to financial problems and programming using Matlab. The book enables the reader to model, design and implement a wide range of financial models for derivatives pricing and asset allocation, providing practitioners with complete financial modelling workflow, from model choice, deriving prices and Greeks using (semi- ) analytic and simulation techniques, and calibration even for exotic options. The book is split into three parts. The first part considers f.
Availability
5748/pup/2017 | 332.028553 KIE f c.1 | Perpustakaan Universitas Pertamina | Available |
Detail Information
Series Title |
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Call Number |
332.028553 KIE f
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Publisher | John Wiley & Sons : United Kingdom., 2012 |
Collation |
xiii, p. 719 : Illust. ; 25 cm
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Language |
English
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ISBN/ISSN |
9780470744895
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Classification |
332.028553
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Content Type |
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Media Type |
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Carrier Type |
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Edition |
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Subject(s) | |
Specific Detail Info |
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Statement of Responsibility |
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Department(s) |
Other version/related
No other version available