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Measurement of Market Risk

Modelling of Risk Factors, Asset Pricing, and Approximation of Portfolio Distributions

Jezik EngleskiEngleski
Knjiga Meki uvez
Knjiga Measurement of Market Risk Pierre-Yves Moix
Libristo kod: 01563503
The objective of this book is to set up an economic quantitative model for the assessment of financi... Cijeli opis
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The objective of this book is to set up an economic quantitative model for the assessment of financial market risk. The Measurement of Market Risk reviews the probabilistic modelling of so-called risk factors, which represent the uncertainty of financial markets, and discusses the issue of risk as the perception of uncertainty by individuals when faced with a decision problem. Further, the book discusses the pricing of financial instruments as a function of risk factors. Emphasis is put on options, because they exhibit a non-linear exposure to the risk factors. The core of the text is the assessment of risk for financial portfolios by way of estimating the portfolio probability distribution. A new approach, the Barycentric Discretisation with Piecewise Quadratic Approximation (BDPQA), which poses no assumptions on the risk factor distribution and accounts for the non-linearity of the price functions, is introduced.

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Informacije o knjizi

Puni naziv Measurement of Market Risk
Jezik Engleski
Uvez Knjiga - Meki uvez
Datum izdanja 2001
Broj stranica 276
EAN 9783540421436
ISBN 3540421432
Libristo kod 01563503
Težina 1290
Dimenzije 155 x 235 x 16
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