Forecasting Volatility in the Financial Markets (Quantitative Finance) (Quantitative Finance) John Knight, Stephen Satchell

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John Knight, Stephen Satchell - «Forecasting Volatility in the Financial Markets (Quantitative Finance) (Quantitative Finance)»

О книге

This new edition of "Forecasting Volatility in the Financial Markets" assumes that the reader has a firm grounding in the key principles and methods of understanding volatility measurement and builds on that knowledge to detail cutting-edge modelling and forecasting techniques. It provides a survey of ways to measure risk and define the different models of volatility and return. Editors John Knight and Stephen Satchell have brought together an impressive array of contributors who present research from their area of specialization related to volatility forecasting. Readers with an understanding of volatility measures and risk management strategies will benefit from this collection of up-to-date chapters on the latest techniques in forecasting volatility.Chapters new to this third edition are: What good is a volatility model? Это и многое другое вы найдете в книге Forecasting Volatility in the Financial Markets (Quantitative Finance) (Quantitative Finance) (John Knight, Stephen Satchell)

Полное название книги John Knight, Stephen Satchell Forecasting Volatility in the Financial Markets (Quantitative Finance) (Quantitative Finance)
Авторы John Knight, Stephen Satchell
Ключевые слова финансы, инвестиции, банковское дело, денежное обращение
Категории Деловая литература, Банковское дело
ISBN 75066942
Издательство
Год 2007
Название транслитом forecasting-volatility-in-the-financial-markets-quantitative-finance-quantitative-finance-john-knight-stephen-satchell
Название с ошибочной раскладкой forecasting volatility in the financial markets (quantitative finance) (quantitative finance) john knight-stephen satchell