Future Perspectives in Risk Models and Finance - Softcover

Book 206 of 323: International Series in Operations Research & Management Science
 
9783319075259: Future Perspectives in Risk Models and Finance

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Synopsis

Estimation Theory for Generalized Linear Models.- New Distorsion Risk Measure Based on Bimodal Distributions.- Stress Testing Engineering: Risk Vs Incident.- The Skin In The Game Heuristic for Protection Against Tail Events.- The Fragility Theorem.- Financial Modeling, Memory and Mathematical Systems.- Asset price modeling: from Fractional to Multifractional Processes.- Financial Analytics and A Binomial Pricing Model.

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Other Popular Editions of the Same Title

9783319075235: Future Perspectives in Risk Models and Finance (International Series in Operations Research & Management Science, 211)

Featured Edition

ISBN 10:  3319075233 ISBN 13:  9783319075235
Publisher: Springer, 2014
Hardcover