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  • Advances in Financial Risk Management

    Corporates, Intermediaries and Portfolios

    Series series Economics and Finance (R0)
    The latest research on measuring, managing and pricing financial risk. Three broad perspectives are considered: financial risk in non-financial corporations; in financial intermediaries such as banks; and finally within the context of a portfolio of securities of different credit quality and marketability. ... Read more

    $115.99 CAD

  • Risk Management Post Financial Crisis

    A Period of Monetary Easing

    Series Book 96 - Contemporary Studies in Economic and Financial Analysis
    Volume 96 of Contemporary Studies in Economic and Financial Analysis provides further insights to postcrisis developments in the global economic and financial environment. Risk Management Post Financial Crisis: A Period of Monetary Easing includes papers from leading authors from central banks, worldrenowned universities and international organisations. Topics and issues addressed by this volume ... Read more

    $245.99 CAD

  • Derivatives Pricing and Modeling

    Series Book 94 - Contemporary Studies in Economic and Financial Analysis
    This edited volume will highlight recent research in derivatives modelling and markets in a post-crisis world across a number of dimensions or themes. The book addresses the following main areas: derivatives models and pricing, model application and performance backtesting, new products and market features. Particular themes encompass: - continuous and discrete time modeling, - statistical ... Read more

    $245.99 CAD

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    Winning Strategies and Their Rationale

    Series series Wiley Trading
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  • High-Frequency Trading

    A Practical Guide to Algorithmic Strategies and Trading Systems

    Series Book 459 - Wiley Trading
    A hands-on guide to the fast and ever-changing world of high-frequency, algorithmic tradingFinancial markets are undergoing rapid innovation due to the continuing proliferation of computer power and algorithms. These developments have created a new investment discipline called high-frequency trading.This book covers all aspects of high-frequency trading, from the business case and formulation of ... Read more

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  • Quantitative Finance For Dummies

    by Steve Bell ...
    An accessible introduction to quantitative finance by the numbers--for students, professionals, and personal investorsThe world of quantitative finance is complex, and sometimes even high-level financial experts have difficulty grasping it. Quantitative Finance For Dummies offers plain-English guidance on making sense of applying mathematics to investing decisions. With this complete guide, you'll ... Read more

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  • The Handbook of Energy Trading

    Series Book 640 - The Wiley Finance Series
    To thrive in today's booming energy trading market you need cutting-edge knowledge of the latest energy trading strategies, backed up by rigorous testing and practical applicationUnique in its practical approach, The Handbook of Energy Trading is your definitive guide. It provides a valuable insight into the latest strategies for trading energy—all tried and tested in maintaining a competitive ... Read more

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  • Mathematics of the Financial Markets

    Financial Instruments and Derivatives Modelling, Valuation and Risk Issues

    Series series The Wiley Finance Series
    Mathematics of the Financial MarketsFinancial Instruments and Derivatives Modeling, Valuation and Risk Issues"Alain Ruttiens has the ability to turn extremely complex concepts and theories into very easy to understand notions. I wish I had read his book when I started my career!"Marco Dion, Global Head of Equity Quant Strategy, J.P. Morgan"The financial industry is built on a vast collection of ... Read more

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  • Active Portfolio Management (PB)

    Series series McGraw-Hill Library of Investment and Finance
    "This new edition of Active Portfolio Management continues the standard of excellence established in the first edition, with new and clear insights to help investment professionals."-William E. Jacques, Partner and Chief Investment Officer, Martingale Asset Management."Active Portfolio Management offers investors an opportunity to better understand the balance between manager skill and portfolio ... Read more

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    Series series The Wiley Finance Series
    Paul Wilmott Introduces Quantitative Finance, Second Edition is an accessible introduction to the classical side of quantitative finance specifically for university students. Adapted from the comprehensive, even epic, works Derivatives and Paul Wilmott on Quantitative Finance, Second Edition, it includes carefully selected chapters to give the student a thorough understanding of futures, options ... Read more

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    Series series McGraw-Hill Financial Education Series
    Make the post-meltdown markets work for you, using the unparalleled insight of today’s top global investing experts!“This book provides a collection of papers that examine trading execution, technical trading, and trading strategies, as well as algorithms in different markets (equities, forex, fixed income, exchange traded funds, derivatives, and commodities) around the world. This is particularly ... Read more

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    A Practitioner's Guide

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    Series Book 357 - Wiley Finance
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