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Financial Models with Levy Processes and Volatility Clustering

Language EnglishEnglish
E-book Adobe ePub DRM
E-book Financial Models with Levy Processes and Volatility Clustering Svetlozar T. Rachev
Libristo code: 39704331
Publishers John Wiley & Sons Inc, February 2011
An in-depth guide to understanding probability distributions and financial modeling for the purposes... Full description
? points 238 b
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An in-depth guide to understanding probability distributions and financial modeling for the purposes of investment management In Financial Models with L vy Processes and Volatility Clustering, the expert author team provides a framework to model the behavior of stock returns in both a univariate and a multivariate setting, providing you with practical applications to option pricing and portfolio management. They also explain the reasons for working with non-normal distribution in financial modeling and the best methodologies for employing it. The book's framework includes the basics of probability distributions and explains the alpha-stable distribution and the tempered stable distribution. The authors also explore discrete time option pricing models, beginning with the classical normal model with volatility clustering to more recent models that consider both volatility clustering and heavy tails. Reviews the basics of probability distributions Analyzes a continuous time option pricing model (the so-called exponential L vy model) Defines a discrete time model with volatility clustering and how to price options using Monte Carlo methods Studies two multivariate settings that are suitable to explain joint extreme events Financial Models with L vy Processes and Volatility Clustering is a thorough guide to classical probability distribution methods and brand new methodologies for financial modeling.

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About the book

Full name Financial Models with Levy Processes and Volatility Clustering
Language English
Binding E-book - Adobe ePub DRM
Date of issue 2011
EAN 9780470937266
Libristo code 39704331
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