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      Practical Methods of Financial Engineering and Risk Management

      by Rupak Chatterjee

      Risk control, capital allocation, and realistic derivative pricing and hedging are critical concerns for major financial institutions and individual traders alike. Events from the collapse of Lehman Brothers to the Greek sovereign debt crisis demonstrate the urgent and abiding need for statistical tools adequate to measure and anticipate the amplitude of potential swings in the financial markets—from ordinary stock price and interest rate moves, to defaults, to those increasingly frequent "rare events" fashionably called black swan events. Yet many on Wall Street continue to rely on standard models based on artificially simplified assumptions that can lead to systematic (and sometimes catastrophic) underestimation of real risks. In Practical Methods of Financial Engineering and Risk Management, Dr. Rupak Chatterjee— former director of the multi-asset quantitative research group at Citi—introduces finance professionals and advanced students to the latest concepts, tools, valuation techniques, and analytic measures being deployed by the more discerning and responsive Wall Street practitioners, on all operational scales from day trading to institutional strategy, to model and analyze more faithfully the real behavior and risk exposure of financial markets in the cold light of the post-2008 realities. Until one masters this modern skill set, one cannot allocate risk capital properly, price and hedge derivative securities realistically, or risk-manage positions from the multiple perspectives of market risk, credit risk, counterparty risk, and systemic risk.The book assumes a working knowledge of calculus, statistics, and Excel, but it teaches techniques from statistical analysis, probability, and stochastic processes sufficient to enable the reader to calibrate probability distributions and create the simulations that are used on Wall Street to valuate various financial instruments correctly, model the risk dimensions of trading strategies, and perform the numerically intensive analysis of risk measures required by various regulatory agencies.

      FORMAT
      Paperback
      LANGUAGE
      English
      CONDITION
      Brand New


      Table of Contents

      Chapter 1. Financial InstrumentsChapter 2. Building a Yield CurveChapter 3. Statistical Analysis of Financial DataChapter 4. Stochastic ProcessesChapter 5. Optimal Hedging Monte Carlo (OHMC) MethodsChapter 6. Introduction to Credit DerivativesChapter 7. Basel II, Basel III, and Credit Valuation Adjustment (CVA)Chapter 8. Modeling Extreme Moves with Power LawsChapter 9. Asset Replication

      Feature

      Practical Methods of Financial Engineering and Risk Management introduces finance professionals and advanced students to the latest post-2008 concepts and tools to model and analyze more faithfully the real behavior of financial markets and better constrain asset allocation, derivative pricing and hedging, and risk control.

      Details

      ISBN1430261331
      Author Rupak Chatterjee
      Year 2014
      ISBN-10 1430261331
      ISBN-13 9781430261339
      Format Paperback
      Short Title PRAC METHODS OF FINANCIAL ENGI
      Language English
      Media Book
      DEWEY 658.155
      Imprint APress
      Subtitle Tools for Modern Financial Professionals
      Edition 1st
      Place of Publication Berlin
      Country of Publication Germany
      Pages 388
      DOI 10.1007/978-1-4302-6134-6
      Publication Date 2014-08-11
      UK Release Date 2014-08-11
      Illustrations 186 Illustrations, black and white; XXIV, 388 p. 186 illus.
      Publisher Springer-Verlag Berlin and Heidelberg GmbH & Co. KG
      Edition Description 1st ed.
      Audience General

      TheNile_Item_ID:96377901;
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