Autore: |
Franke, Jurgen
|
Titolo: |
Statistics of financial markets : an introduction / Jurgen Franke, Wolfgang Karl Hardle, Christian Matthias Hafner
|
Pubblicazione: |
Berlin ; Heidelberg, : Springer, 2015 |
Titolo uniforme: |
Statistics of financial markets : an introduction
|
Edizione: |
4. ed |
Descrizione fisica: |
XIX, 555 p. : ill. ; 24 cm |
Soggetto topico: |
91Gxx - Actuarial science and mathematical finance [MSC 2020] |
|
62M10 - Time series, auto-correlation, regression, etc. in statistics (GARCH) [MSC 2020] |
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91-XX - Game theory, economics, finance, and other social and behavioral sciences [MSC 2020] |
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62P05 - Applications of statistics to actuarial sciences and financial mathematics [MSC 2020] |
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91B84 - Economic time series analysis [MSC 2020] |
|
91B82 - Statistical methods; economic indices and measures [MSC 2020] |
|
91G70 - Statistical methods; risk measures [MSC 2020] |
Soggetto non controllato: |
ARIMA |
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Copulae |
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Credit risk |
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Discrete Time Dynamics |
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Exotic Options |
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Financial Time Series |
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Neural networks |
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Option Management |
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Option Portfolios |
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Probability Theory |
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Quantitative Finance |
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Risk and Backtesting |
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Simulation Techniques |
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Stochastic Integrals |
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Stochastic differential equations |
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Stochastic processes |
Altri autori: |
Hafner, Christian Matthias
Härdle, Wolfgang Karl
|
Titolo autorizzato: |
Statistics of financial markets : an introduction |
Formato: |
Materiale a stampa |
Livello bibliografico |
Monografia |
Lingua di pubblicazione: |
Inglese |
Record Nr.: | VAN0113921 |
Lo trovi qui: | Univ. Vanvitelli |
Localizzazioni e accesso elettronico |
http://dx.doi.org/10.1007/978-3-642-54539-9 |
Opac: |
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