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The Statistical Mechanics of Financial Markets

The Statistical Mechanics of Financial Markets - Paperback

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Availability:In StockContributor:Johannes VoitSeries:Theoretical and Mathematical PhysicsPublish date:2010-10-19Pages:378
Language:EnglishPublisher:SpringerISBN-13:9783642065781ISBN-10:3642065783UPC:9783642065781Book Category:Mathematics, Business & Economics, ScienceBook Subcategory:Game Theory, Statistics, PhysicsBook Topic:Mathematical & ComputationalSize:9.21 x 6.14 x 0.81 inchesWeight:1.2214Product ID:SCRQ0B8A7Q

The third edition of this highly praised reference offers new chapters on the basic notions and tools of risk management, and capital requirements for financial institutions, including an overview of the new Basel II capital framework which may well set the risk management standards in scores of countries for years to come. Using empirical financial data and analogies to physical models such as fluid flows, turbulence, or superdiffusion, the book develops a more accurate description of financial markets based on random walks. This approach permits the formulation of novel methods for derivative pricing and risk management.


Language:EnglishPublisher:SpringerISBN-13:9783642065781ISBN-10:3642065783UPC:9783642065781Book Category:Mathematics, Business & Economics, ScienceBook Subcategory:Game Theory, Statistics, PhysicsBook Topic:Mathematical & ComputationalSize:9.21 x 6.14 x 0.81 inchesWeight:1.2214Product ID:SCRQ0B8A7Q
Publisher: Springer

Edition

3rd Edition

Contributor(s)

Johannes Voit

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