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Financial Engineering with Copulas Explained

Language EnglishEnglish
Book Paperback
Book Financial Engineering with Copulas Explained Jan-Frederik Mai
Libristo code: 04771264
Publishers PALGRAVE MACMILLAN, October 2014
Financial Engineering with Copulas Explained is a succinct guide to the application and modelling of... Full description
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Financial Engineering with Copulas Explained is a succinct guide to the application and modelling of dependence models or copulas in the financial markets. First applied to credit risk modelling, copulas are now widely used across a range of derivatives transactions, asset pricing techniques and risk models and are a core part of the financial engineer's toolkit. However, by their very nature, copulas are complex and their applications are often misunderstood. Incorrectly applied, copulas can be hugely detrimental to a model or algorithm. This book brings the complex topic of copulas within easy reach of finance practitioners. Starting with an introduction to copulas and their basics, the authors go on to analyse the different kinds of copulas used in the markets, their differences, why different copulas are used for different applications, and more importantly, where they should not be used, and why. Finally, using practical examples, the book shows readers how to construct stable, high dimensional models for asset pricing and risk modelling. Written to appeal to quantitatively-minded practitioners across the trading floors and in risk management, Financial Engineering with Copulas Explained will be a valuable addition to the Financial Engineering Explained series and warmly welcomed by the industry.

About the book

Full name Financial Engineering with Copulas Explained
Language English
Binding Book - Paperback
Date of issue 2014
Number of pages 150
EAN 9781137346308
ISBN 1137346302
Libristo code 04771264
Publishers PALGRAVE MACMILLAN
Weight 274
Dimensions 234 x 158 x 10
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