Advanced Probability for Quantitative Finance: Distributions, Risk, and Simulation: Mastering Randomness, Tail Risk, and Simulation for Modern Financial Modeling
Language: English
Published by Independently published, 2025
- Softcover
- New

Seller: California Books, Miami, FL, U.S.A.California Books
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- Title
- Advanced Probability for Quantitative Finance: Distributions, Risk, and Simulation: Mastering Randomness, Tail Risk, and Simulation for Modern Financial Modeling
- Author
- Bisette, Hayd Vincent
- Publisher
- Independently published
- Publication year
- 2025
- Condition
- New
- Binding
- Soft cover
- Language
- English
- ISBN 13
- 9798263402679
Reactive Publishing
Probability is the invisible architecture of finance, shaping every risk, payoff, and decision. Advanced Probability for Quantitative Finance unlocks the deeper structures of distributions, extreme events, and simulation techniques that drive today’s most sophisticated trading and risk systems. With clear explanations and finance-focused examples, Vincent Bisette equips quants, analysts, and risk managers to move beyond surface-level statistics and into the realm where uncertainty becomes a strategic advantage.
Probability is the invisible architecture of finance, shaping every risk, payoff, and decision. Advanced Probability for Quantitative Finance unlocks the deeper structures of distributions, extreme events, and simulation techniques that drive today’s most sophisticated trading and risk systems. With clear explanations and finance-focused examples, Vincent Bisette equips quants, analysts, and risk managers to move beyond surface-level statistics and into the realm where uncertainty becomes a strategic advantage.
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California Books
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