Practical Applications in Quantitative Finance is an essential resource for those seeking to apply quantitative methods in the field of finance. Covering a wide spectrum of topics, including risk management, market risk, credit risk, and volatility modeling, this book provides practical insights into quantitative finance. It explores advanced techniques like copula modeling, default modeling, and network risk assessment, making it relevant in contemporary financial contexts. Whether you’re a risk analyst, portfolio manager, or researcher, this resource equips you with the knowledge and tools needed to navigate the complexities of quantitative finance, especially in high-frequency data and cryptocurrency markets, making it a crucial reference for mastering the practical aspects of the field.
Mathematics and Statistics
Practical Applications in Quantitative Finance
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& Download InstantISBN: 9798223748250
Editor(s): Team Educohack
Publication Year: 2024
Pages: 366
Format: PDF
Language: English
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