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reserves. In this book, authors Patrick Gagliardini and Christian Gourieroux provide the first comprehensive overview of the granularity theory and;
Vergelijkbare producten zoals Granularity Theory With Applications To Finance And Insuranc
reserves. In this book, authors Patrick Gagliardini and Christian Gourieroux provide the first comprehensive overview of the granularity theory and;
Vergelijkbare producten zoals Granularity Theory with Applications to Finance and Insurance
For courses in International Finance. A balanced approach to theory and policy applications International Finance: Theory and Policy;
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This book explores reasoning with rough sets by developing a granularity-based framework. It begins with a brief description of the rough;
Vergelijkbare producten zoals Reasoning with Rough Sets
A guide to the growing importance of extreme value risk theory, methods, and applications in the financial sector Presenting a uniquely;
Vergelijkbare producten zoals Extreme Events In Finance A Handbook Of
of behavioral finance to measurable variables and smarter investment decision making. Comprehensive coverage relating theory to practical investment;
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chapters, but is presented in the application chapters with various degrees of granularity.;
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The book contains three parts: Spectral theory of large dimensional random matrices; Applications to wireless communications; and;
Vergelijkbare producten zoals Spectral Theory Of Large Dimensional Random Matrices And Its Applications To Wireless Communications And Finance Statistics
computational disciplines in quantitative finance, such as financial econometrics and discrete time stochastic control, with an emphasis on how theory;
Vergelijkbare producten zoals Machine Learning in Finance
computational disciplines in quantitative finance, such as financial econometrics and discrete time stochastic control, with an emphasis on how theory;
Vergelijkbare producten zoals Machine Learning in Finance
discounting gives rise to time inconsistency. Other famous examples of time inconsistency include mean-variance portfolio choice and prospect theory;
Vergelijkbare producten zoals Time-Inconsistent Control Theory with Finance Applications
research on the mathematical theory and the practical applications of optimal stopping problems as they relate to financial applications. By;
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, open-economy macroeconomics, andinternational money and banking. It consistently connects theory to real-world policy andbusiness applications;
Vergelijkbare producten zoals International Monetary And Financial Economics With Economic Applications
-normalized sums of random variables Measures of market risk Along with examples from finance and insurance to illustrate the methods, Extreme;
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of the Strasbourg school. This book covers the general theory of stochastic processes, local martingales and processes of bounded;
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, and Granularity held in October 2001. The contributions examine fundamental problems in the analysis of spatial vagueness and uncertainty, and;
Vergelijkbare producten zoals Spatial Vagueness, Uncertainty, Granularity
Presenting emphases on and approaches to issues such as government spending, reporting, pricing and fiscal federalism, the Handbook;
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modern financial economy. Practical examples and case studies provide the reader with a comprehensive introduction to the fundamentals of the;
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Coupling in-depth coverage of essential theory with practical applications, Madura's INTERNATIONAL FINANCIAL MANAGEMENT, 13e, builds on the;
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with many applications to economics and other fields where risk is crucial.;
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, in December 2016. The 22 revised full papers presented together with 2 invited lectures were carefully reviewed and selected from numerous;
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self-contained book combining theory and applications, the text can be used in any part of the world as it takes a global viewpoint. Students;
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This book provides an introduction to R programming and a summary of financial mathematics. It is not always easy for graduate;
Vergelijkbare producten zoals R Programming and Its Applications in Financial Mathematics
This book provides an introduction to R programming and a summary of financial mathematics. It is not always easy for graduate students;
Vergelijkbare producten zoals R Programming and Its Applications in Financial Mathematics
Discover a structured, applied approach to behavioral finance with the first academic text of its kind--Ackert/Deaves' BEHAVIORAL FINANCE;
Vergelijkbare producten zoals Behavioral Finance
, annuity and insurance policies with option-embedded features, investment strategies, commodity markets, energy, high-frequency trading, credit;
Vergelijkbare producten zoals Hidden Markov Models in Finance
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