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dewey-ones:"332 - Financial economics"
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1
Imperfect Information and Investor Heterogeneity in the Bond Market
by
Riedel, Frank
Published 2000
Physica-Verlag HD
Subjects:
“
...Mathematical
Modeling
and Industrial Mathematics...
”
Read Now
2
Semiparametric Modeling of Implied Volatility
by
Fengler, Matthias R.
Published 2005
Springer Berlin Heidelberg
Subjects:
“
...Mathematical
Modeling
and Industrial Mathematics...
”
Read Now
3
The credit market handbook : advanced modeling issues
by
Fong, H. Gifford
Published 2006
Wiley
Subjects:
“
...Gestion du risque /
Modèles
mathématiques...
”
Call Number:
HG3701
Read Now
4
Equity valuation : models from leading investment banks
by
Viebig, Jan
Published 2008
John Wiley & Sons
Subjects:
“
...Investment analysis / Mathematical
models
/ fast...
”
Call Number:
HG4661
Read Now
5
The macroeconomic theory of exchange rate crises
by
Piersanti, Giovanni
Published 2012
Oxford University Press
Subjects:
“
...Financial crises / Econometric
models
...
”
Call Number:
HB3722
Read Now
6
Portfolio management under stress : a Bayesian-net approach to coherent asset allocation
by
Rebonato, Riccardo
,
Denev, Alexander
Published 2013
Cambridge University Press
Subjects:
“
...Portfolio management / Mathematical
models
...
”
Call Number:
HG4529.5
Read Now
7
Strategic asset allocation : portfolio choice for long-term investors
by
Campbell, John Y.
Published 2002
Oxford University Press
Subjects:
“
...Asset allocation / Mathematical
models
...
”
Call Number:
HG4529.5
Read Now
8
Rethinking valuation and pricing models : lessons learned from the crisis and future challenges
by
Wehn, Carsten S.
Published 2013
Academic Press
Subjects:
“
...Valuation / Econometric
models
...
”
Call Number:
HF5681.V3
Read Now
9
Stochastic optimal control, international finance, and debt crises
by
Stein, Jerome L.
Published 2006
Oxford University Press
Subjects:
“
...Foreign exchange rates / Mathematical
models
...
”
Call Number:
HG3823
Read Now
10
Bubble value at risk : a countercyclical risk management approach
by
Wong, Max C. Y.
Published 2013
John Wiley & Sons Singapore Pte. Ltd.
Subjects:
“
...Évaluation du risque /
Modèles
mathématiques...
”
Call Number:
HD61
Read Now
11
Credit models and the crisis : a journey into CDOs, Copulas, correlations and dynamic models
by
Brigo, Damiano
Published 2010
John Wiley & Sons
Subjects:
“
...Finance / Mathematical
models
/ fast...
”
Call Number:
HG106
Read Now
12
Inside the black box : the simple truth about quantitative trading
by
Narang, Rishi K
Published 2009
Wiley
Subjects:
“
...Investment analysis / Mathematical
models
/ fast...
”
Call Number:
HG4529.5
Read Now
13
Inside the black box : a simple guide to quantitative and high frequency trading
by
Narang, Rishi K
Published 2013
John Wiley & Sons, Inc.
Subjects:
“
...Investment analysis / Mathematical
models
/ fast...
”
Call Number:
HG4529.5
Read Now
14
Encyclopedia of quantitative finance
Published 2010
Wiley
Subjects:
“
...Finance / Mathematical
models
/ Encyclopedias...
”
Call Number:
HG106
Read Now
15
Stochastic volatility Modeling
by
Bergomi, Lorenzo
Published 2016
CRC Press
Subjects:
“
...Finance / Mathematical
models
/ fast...
”
Call Number:
HG106.B39 2016
Read Now
16
Discrete models of financial markets
by
Capiński, Marek
,
Kopp, P. E.
Published 2012
Cambridge University Press
Subjects:
“
...Finance / Mathematical
models
...
”
Call Number:
HG106
Read Now
17
Option pricing and estimation of financial models with R
by
Iacus, Stefano M.
Published 2011
J. Wiley & Sons
Subjects:
“
...Options (Finance) / Prices / Mathematical
models
/ fast...
”
Call Number:
HG6024.A3
Read Now
18
GARCH models : structure, statistical inference and financial applications
by
Francq, Christian
,
Zakoian, Jean-Michel
Published 2019
John Wiley & Sons
Subjects:
“
...Investments / Mathematical
models
/ fast...
”
Call Number:
HG106
Read Now
19
Stochastic calculus for finance
by
Capiński, Marek
,
Kopp, P. E.
,
Traple, Janusz
Published 2012
Cambridge University Press
Subjects:
“
...Finance / Mathematical
models
...
”
Call Number:
HG106
Read Now
20
Mathematics of the bond market : a Lévy processes approach
by
Barski, Michał
,
Zabczyk, Jerzy
Published 2020
Cambridge University Press
Subjects:
“
...Bond market / Mathematical
models
...
”
Call Number:
HG4651
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