Alta reperibilità
Financial Modeling Under Non-Gaussian Distributions
- Editore:
Springer-Verlag GmbH
- Collana:
- Springer Finance
- EAN:
9781846284199
- ISBN:
1846284198
- Pagine:
- 541
- Formato:
- Hardback
- Lingua:
- Inglese
Acquistabile con
o la
Descrizione Financial Modeling Under Non-Gaussian Distributions
Practitioners and researchers who have handled financial market data know that asset returns do not behave according to the bell-shaped curve, associated with the Gaussian or normal distribution. Indeed, the use of Gaussian models when the asset return distributions are not normal could lead to a wrong choice of portfolio, the underestimation of extreme losses or mispriced derivative products. Consequently, non-Gaussian models and models based on processes with jumps are gaining popularity among financial market practitioners.
Disponibile in 10-12 giorni
Recensioni degli utenti
e condividi la tua opinione con gli altri utenti