설명
A new edition of a successful, well-established book that provides the reader with a text focused on practical rather than theoretical aspects of financial modelling Includes a new chapter devoted to volatility risk The theme of stochastic volatility reappears systematically and has been revised fundamentally, presenting a much more detailed analyses of interest-rate models
책 세부 정보
형식
페이퍼백
페이지
740 페이지
언어
영어
출판됨
Oct 19, 2010
출판사
Springer
판본
3 editions
ISBN-10
3642058981
ISBN-13
9783642058981