Extreme Financial Risks

Extreme Financial Risks

AngličtinaMěkká vazba
Malevergne Yannick
Springer, Berlin
EAN: 9783540272649
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Podrobné informace

Portfolio analysis and optimization, together with the associated risk assessment and management, require knowledge of the likely distributions of returns at different time scales and insights into the nature and properties of dependences between the different assets.

This book offers an original and thorough treatment of these two domains, focusing mainly on the concepts and tools that remain valid for large and extreme price moves. Strong emphasis is placed on the theory of copulas and their empirical testing and calibration, because they offer intrinsic and complete measures of dependences.

Extreme Financial Risks will be useful to:

students looking for a general and in-depth introduction to the field;

financial engineers, economists, econometricians, actuarial professionals;

researchers and mathematicians looking for a synoptic view comparing the pros and cons of different modelling strategies; and

quantitative practitioners for the insights offered on the subtleties and the many dimensional components of both risk and dependence.

In toto, the content of this book will also be useful to a broader scientific community interested in quantifying the complexity of many natural and artificial processes in which a growing emphasis is on the role and importance of extreme phenomena.

EAN 9783540272649
ISBN 354027264X
Typ produktu Měkká vazba
Vydavatel Springer, Berlin
Datum vydání 2. listopadu 2005
Stránky 312
Jazyk English
Rozměry 240 x 160
Země Germany
Sekce Professional & Scholarly
Autoři Malevergne Yannick; Sornette Didier
Ilustrace XVI, 312 p. 62 illus.