Isbn: 9787543232662 - financial modeling with non-gaussian distributions(chinese edition) (1 resultados)

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    • Idioma: Inglés

      Editorial: Gezhi Publishing House, 2021

      7543232669 / 9787543232662

      • Tapa blanda

      Librería: liu xing, Nanjing, JS, Chinaliu xing

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      Condición: Nuevo

      EUR 141,48

      Envío por EUR 15,52 
      Se envía de China a Estados Unidos de America

      Cantidad disponible: 1 disponibles

      paperback. Condición: New. Paperback.Pub Date:2021-12-01 Pages:552 Language:Chinese Publisher:Gezhi Publishing House In the real financial market. the distribution of asset returns is not a normal distribution. but financial practitioners and researchers still use more Gaussian models analyze how assets are configured. The consequences of this are wrong investment portfolios. underestimation of extreme losses. or mispricing of financial derivatives. As a result. non-Gaussian models and models capable of dealing with di.