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Titlebook: Applied Quantitative Finance; Theory and Computati Wolfgang Härdle,Torsten Kleinow,Gerhard Stahl Book 20021st edition Springer-Verlag Berli

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https://doi.org/10.1007/978-3-319-41139-2ssets and a riskless benchmark curve, is a challenge for any financial institution seeking to estimate the amount of economic capital utilized by trading and treasury activities. With the help of standard tools this contribution investigates some of the characteristic features of yield spread time s
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Edward Deveson,Alejandro Martineztfolio hedging, or option pricing, we need to have a precise notion of the market’s expectation of volatility. Much research has been done on the analysis of realized historic volatilities, Roll (1977) and references therein. However, since it seems unsettling to draw conclusions from past to expect
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Environmental History of Oceanic Islandsay derive the whole risk-neutral probability distribution of the underlying asset price at the maturity date of the options. Once this distribution also called State-Price Density (SPD) is estimated, it may serve for pricing new, complex or illiquid derivative securities.
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Early Botanical Period (1820–1875)s. Here we focus on multivariate GARCH models. In this common model class it is assumed that the covariance of the error distribution follows a time dependent process conditional on information which is generated by the history of the process. To provide a particular example, we consider a system of
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https://doi.org/10.1007/978-3-030-47871-1 observed data. Together with the theory of sampling plans, capability analysis and similar topics it forms the field of Statistical Quality Control. SPC started in the 1930s with the pioneering work of Shewhart (1931). Then, SPC became very popular with the introduction of new quality policies in t
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