Catalog Search Results
Series
Routledge advances in applied financial econometrics volume Volume 2
Publisher
Routledge
Pub. Date
2019.
Language
English
Description
This book provides an up-to-date series of advanced chapters on applied financial econometric techniques pertaining the various fields of commodities finance, mathematics & stochastics, international macroeconomics and financial econometrics. Financial Mathematics, Volatility and Covariance Modelling: Volume2 provides a key repository on the current state of knowledge, the latest debates and recent literature on financial mathematics, volatility and...
Author
Series
Publisher
John Wiley & Sons, Inc
Pub. Date
[2022]
Language
English
Description
"Finance as a distinct field from economics is generally defined as the science or study of the management of funds. The creation of credit, savings, investments, banking institutions, financial markets and products, risk management all fall under the purview of finance. The unifying themes in finance are time, risk and money. Mathematical or quantitative finance is the application of mathematics to these core areas. While simple arithmetic was enough...
Author
Publisher
Wiley-ISTE
Pub. Date
2022.
Language
English
Description
This book is entirely devoted to discrete time and provides a detailed introduction to the construction of the rigorous mathematical tools required for the evaluation of options in financial markets. Both theoretical and practical aspects are explored through multiple examples and exercises, for which complete solutions are provided. Particular attention is paid to the Cox, Ross and Rubinstein model in discrete time. The book offers a combination...
Author
Publisher
Apress
Pub. Date
[2021]
Language
English
Description
Financial modeling is a crucial concept for business leaders to understand and execute effectively, but few have the tools necessary to do so. While many professionals are familiar with financial statements and accounting reports, not many are truly proficient at building an accurate and practical financial model from the ground up. The Handbook of Financial Modeling provides these skills and so much more. Now in its second edition, The Handbook of...
Author
Publisher
John Wiley & Son
Pub. Date
2018.
Language
English
Description
COVERS THE FUNDAMENTAL TOPICS IN MATHEMATICS, STATISTICS, AND FINANCIAL MANAGEMENT THAT ARE REQUIRED FOR A THOROUGH STUDY OF FINANCIAL MARKETS This comprehensive yet accessible book introduces students to financial markets and delves into more advanced material at a steady pace while providing motivating examples, poignant remarks, counterexamples, ideological clashes, and intuitive traps throughout. Tempered by real-life cases and actual market structures,...
Author
Publisher
John Wiley & Sons
Pub. Date
2019.
Language
English
Description
Provides a comprehensive and updated study of GARCH models and their applications in finance, covering new developments in the discipline This book provides a comprehensive and systematic approach to understanding GARCH time series models and their applications whilst presenting the most advanced results concerning the theory and practical aspects of GARCH. The probability structure of standard GARCH models is studied in detail as well as statistical...
Author
Publisher
John Wiley & Sons, Inc
Pub. Date
[2018]
Language
English
Description
Graduate from Excel to MATLAB® to keep up with the evolution of finance data Foundations of Computational Finance with MATLAB® is an introductory text for both finance professionals looking to branch out from the spreadsheet, and for programmers who wish to learn more about finance. As financial data grows in volume and complexity, its very nature has changed to the extent that traditional financial calculators and spreadsheet programs are simply...
Author
Series
Publisher
John Wiley & Sons, Inc
Pub. Date
[2022]
Language
English
Description
Turn your financial data into insightful decisions with this straightforward guide to financial modeling with Excel Interested in learning how to build practical financial models and forecasts but concerned that you don't have the math skills or technical know-how? We've got you covered! Financial decision-making has never been easier than with Financial Modeling in Excel For Dummies. Whether you work at a mom-and-pop retail store or a multinational...
Author
Series
Publisher
Wiley
Pub. Date
[2018]
Language
English
Description
The comprehensive, broadly-applicable, real-world guide to financial modelling Principles of Financial Modelling - Model Design and Best Practices Using Excel and VBAcovers the full spectrum of financial modelling tools and techniques in order to provide practical skills that are grounded in real-world applications. Based on rigorously-tested materials created for consulting projects and for training courses, this book demonstrates how to plan, design...
Publisher
CRC Press
Pub. Date
2024.
Language
English
Description
"This book presents contemporary issues and challenges in finance and risk management in a time of rapid transformation due to technological advancements. It includes research articles based on financial and economic data and intends to cover the emerging role of analytics in financial management, asset management, and risk management. The primary users of the book will include researchers, academicians, postgraduate students, professionals in engineering...
Author
Series
Publisher
Wiley
Pub. Date
2020.
Language
English
Description
"This book falls broadly in the area of financial mathematics. It presents a multitude of topics that are relevant to the quantitative finance community. Experts in teaching and active in research, the authors aim to discuss theory in the context of applications to specific practical problems. The book is complete with different coding techniques in R and MATLAB and generic pseudo-algorithms to modern finance. Starting with the theoretical backdrop...
12) Modern computational finance: AAD and parallel simulations with professional implementation in C++
Author
Publisher
John Wiley & Sons, Inc
Pub. Date
[2019]
Language
English
Author
Publisher
John Wiley & Sons, Inc
Pub. Date
[2018]
Language
English
Description
"Machine learning (ML) is changing virtually every aspect of our lives. Today ML algorithms accomplish tasks that until recently only expert humans could perform. As it relates to finance, this is the most exciting time to adopt a disruptive technology that will transform how everyone invests for generations. Readers will learn how to structure Big data in a way that is amenable to ML algorithms; how to conduct research with ML algorithms on that...
Author
Publisher
John Wiley & Sons, Inc
Pub. Date
2019.
Language
English
Description
Game-theoretic probability and finance come of age Glenn Shafer and Vladimir Vovk Probability and Finance, published in 2001, showed that perfect-information games can be used to define mathematical probability. Based on fifteen years of further research, Game-Theoretic Foundations for Probability and Finance presents a mature view of the foundational role game theory can play. Its account of probability theory opens the way to new methods of prediction...
Author
Publisher
John Wiley & Sons, Inc
Pub. Date
2019.
Language
English
Description
A comprehensive introduction to the core issues of stochastic differential equations and their effective application Introduction to Stochastic Differential Equations with Applications to Modelling in Biology and Finance offers a comprehensive examination to the most important issues of stochastic differential equations and their applications. The author - a noted expert in the field - includes myriad illustrative examples in modelling dynamical phenomena...
Author
Publisher
American Institute of Certified Public Accountants, Inc
Pub. Date
[2017]
Language
English
Description
Many companies fail to succeed due to poor planning, which is one reason why accountants are in big demand. Skilled at forecasting, accountants can plan a company's future by determining the maximum sustainable growth and predict its external fund requirements. This book provides you with the basic tools necessary to project the balance sheet and statements of income and cash flow, enabling you to add a unique value to your client(s) work. This book...
Publisher
PACKT PUBLISHING LIMITED
Pub. Date
2023
Language
English
Description
Elevate your problem-solving prowess by using cutting-edge quantum machine learning algorithms in the financial domain Purchase of the print or Kindle book includes a free PDF eBook Key Features Learn to solve financial analysis problems by harnessing quantum power Unlock the benefits of quantum machine learning and its potential to solve problems Train QML to solve portfolio optimization and risk analytics problems Book Description Quantum computing...
Author
Publisher
Packt Publishing
Pub. Date
2022.
Language
English
Description
Use modern Python libraries such as pandas, NumPy, and scikit-learn and popular machine learning and deep learning methods to solve financial modeling problems Purchase of the print or Kindle book includes a free eBook in the PDF format Key Features Explore unique recipes for financial data processing and analysis with Python Apply classical and machine learning approaches to financial time series analysis Calculate various technical analysis indicators...
Author
Publisher
Packt Publishing Ltd
Pub. Date
2022.
Language
English
Description
Financial modeling is a core skill required by anyone who wants to build a career in finance. Hands-On Financial Modeling with Excel for Microsoft 365 explores financial modeling terminologies with the help of Excel. Starting with the key concepts of Excel, such as formulas and functions, this updated second edition will help you to learn all about referencing frameworks and other advanced components for building financial models. As you proceed,...
Author
Publisher
Packt
Pub. Date
2020.
Language
English
Description
Python is becoming the number one language for data science and also quantitative finance. This book provides you with solutions to common tasks from the intersection of quantitative finance and data science, using modern Python libraries.
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