Handbook of Asset and Liability Management: Theory and Methodology (Andbooks in Finance)

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9780444508751: Handbook of Asset and Liability Management: Theory and Methodology (Andbooks in Finance)

This first volume of the Handbook of Asset and Liability Management presents the theories and methods supporting models that align a firm's operations and tactics with its uncertain environment. Detailing the symbiosis between optimization tools and financial decision-making, its original articles cover term and volatility structures, interest rates, risk-return analysis, dynamic asset allocation strategies in discrete and continuous time, the use of stochastic programming models, bond portfolio management, and the Kelly capital growth theory and practice. They effectively set the scene for Volume Two by showing how the management of risky assets and uncertain liabilities within an integrated, coherent framework remains the core problem for both financial institutions and other business enterprises as well.

*Each volume presents an accurate survey of a sub-field of finance
*Fills a substantial gap in this field
*Broad in scope

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A definitive source for comprehensive and accessible information in the field of finance

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Published by ELSEVIER SCIENCE TECHNOLOGY, United States (2006)
ISBN 10: 0444508759 ISBN 13: 9780444508751
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Book Description ELSEVIER SCIENCE TECHNOLOGY, United States, 2006. Hardback. Book Condition: New. New.. Language: English . This book usually ship within 10-15 business days and we will endeavor to dispatch orders quicker than this where possible. Brand New Book. This first volume of the Handbook of Asset and Liability Management presents the theories and methods supporting models that align a firm s operations and tactics with its uncertain environment. Detailing the symbiosis between optimization tools and financial decision-making, its original articles cover term and volatility structures, interest rates, risk-return analysis, dynamic asset allocation strategies in discrete and continuous time, the use of stochastic programming models, bond portfolio management, and the Kelly capital growth theory and practice. They effectively set the scene for Volume Two by showing how the management of risky assets and uncertain liabilities within an integrated, coherent framework remains the core problem for both financial institutions and other business enterprises as well. Bookseller Inventory # EOD9780444508751

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Published by ELSEVIER SCIENCE TECHNOLOGY, United States (2006)
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Book Description ELSEVIER SCIENCE TECHNOLOGY, United States, 2006. Hardback. Book Condition: New. New. Language: English . Brand New Book ***** Print on Demand *****. This first volume of the Handbook of Asset and Liability Management presents the theories and methods supporting models that align a firm s operations and tactics with its uncertain environment. Detailing the symbiosis between optimization tools and financial decision-making, its original articles cover term and volatility structures, interest rates, risk-return analysis, dynamic asset allocation strategies in discrete and continuous time, the use of stochastic programming models, bond portfolio management, and the Kelly capital growth theory and practice. They effectively set the scene for Volume Two by showing how the management of risky assets and uncertain liabilities within an integrated, coherent framework remains the core problem for both financial institutions and other business enterprises as well. Bookseller Inventory # APC9780444508751

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Published by North Holland (2017)
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Book Description North Holland, 2017. Hardcover. Book Condition: New. Never used! This item is printed on demand. Bookseller Inventory # 0444508759

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Published by ELSEVIER SCIENCE TECHNOLOGY, United States (2006)
ISBN 10: 0444508759 ISBN 13: 9780444508751
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Book Description ELSEVIER SCIENCE TECHNOLOGY, United States, 2006. Hardback. Book Condition: New. New. Language: English . Brand New Book ***** Print on Demand *****.This first volume of the Handbook of Asset and Liability Management presents the theories and methods supporting models that align a firm s operations and tactics with its uncertain environment. Detailing the symbiosis between optimization tools and financial decision-making, its original articles cover term and volatility structures, interest rates, risk-return analysis, dynamic asset allocation strategies in discrete and continuous time, the use of stochastic programming models, bond portfolio management, and the Kelly capital growth theory and practice. They effectively set the scene for Volume Two by showing how the management of risky assets and uncertain liabilities within an integrated, coherent framework remains the core problem for both financial institutions and other business enterprises as well. Bookseller Inventory # APC9780444508751

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ZENIOS, STAVROS A.; ZIEMBA, WILLIAM
Published by North Holland (2006)
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Book Description North Holland, 2006. Hardback. Book Condition: NEW. 9780444508751 This listing is a new book, a title currently in-print which we order directly and immediately from the publisher. Bookseller Inventory # HTANDREE0896395

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