Quantitative finance for dummies
Bell, Steve
Quantitative finance for dummies - New Delhi Wiley India Pvt. Ltd. 2017 - xii, 386 p.
Introduction Part 1: Getting Started with Quantitative Finance Chapter 1: Quantitative Finance Unveiled Chapter 2: Understanding Probability and Statistics Chapter 3: Taking a Look at Random Behaviours Part 2: Tackling Financial Instruments Chapter 4: Sizing Up Interest Rates, Shares and Bonds Chapter 5: Exploring Options Chapter 6: Trading Risk with Futures Part 3: Investigating and Describing Market Behaviour Chapter 7: Reading the Market's Mood: Volatility Chapter 8: Analysing All the Data Chapter 9: Analysing Data Matrices: Principal Components Part 4: Option Pricing Chapter 10: Examining the Binomial and Black-Scholes Pricing Models Chapter 11: Using the Greeks in the Black-Scholes Model Chapter 12: Gauging Interest-Rate Derivatives Part 5: Risk and Portfolio Management Chapter 13: Managing Market Risk Chapter 14: Comprehending Portfolio Theory Chapter 15: Measuring Potential Losses: Value at Risk (VaR) Part 6: Market Trading and Strategy Chapter 16: Forecasting Markets Chapter 17: Fitting Models to Data Chapter 18: Markets in Practice Part 7: The Part of Tens Chapter 19: Ten Key Ideas of Quantitative Finance Chapter 20: Ten Ways to Ace Your Career in Quantitative Finance Glossary Index
Description Quantitative finance is the application of mathematics to investing decisions. Aimed at investors and finance students alike, Quantitative Finance For Dummies is an accessible yet thorough introduction to this complex world. It provides you with a solid understanding of futures, options and risk, and explains the most popular equations, methods, formulas and models (such as the Black-Scholes model) that are applied in quantitative finance.
9788126567942
Options (Finance)--Mathematical models
Finance--Mathematical models
332.015118 / BEL
Quantitative finance for dummies - New Delhi Wiley India Pvt. Ltd. 2017 - xii, 386 p.
Introduction Part 1: Getting Started with Quantitative Finance Chapter 1: Quantitative Finance Unveiled Chapter 2: Understanding Probability and Statistics Chapter 3: Taking a Look at Random Behaviours Part 2: Tackling Financial Instruments Chapter 4: Sizing Up Interest Rates, Shares and Bonds Chapter 5: Exploring Options Chapter 6: Trading Risk with Futures Part 3: Investigating and Describing Market Behaviour Chapter 7: Reading the Market's Mood: Volatility Chapter 8: Analysing All the Data Chapter 9: Analysing Data Matrices: Principal Components Part 4: Option Pricing Chapter 10: Examining the Binomial and Black-Scholes Pricing Models Chapter 11: Using the Greeks in the Black-Scholes Model Chapter 12: Gauging Interest-Rate Derivatives Part 5: Risk and Portfolio Management Chapter 13: Managing Market Risk Chapter 14: Comprehending Portfolio Theory Chapter 15: Measuring Potential Losses: Value at Risk (VaR) Part 6: Market Trading and Strategy Chapter 16: Forecasting Markets Chapter 17: Fitting Models to Data Chapter 18: Markets in Practice Part 7: The Part of Tens Chapter 19: Ten Key Ideas of Quantitative Finance Chapter 20: Ten Ways to Ace Your Career in Quantitative Finance Glossary Index
Description Quantitative finance is the application of mathematics to investing decisions. Aimed at investors and finance students alike, Quantitative Finance For Dummies is an accessible yet thorough introduction to this complex world. It provides you with a solid understanding of futures, options and risk, and explains the most popular equations, methods, formulas and models (such as the Black-Scholes model) that are applied in quantitative finance.
9788126567942
Options (Finance)--Mathematical models
Finance--Mathematical models
332.015118 / BEL