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Item Details
Title: MULTISCALE STOCHASTIC VOLATILITY FOR EQUITY, INTEREST-RATE AND CREDIT DERIVATIVES
By: Jean-Pierre Fouque, George Papanicolaou, Ronnie Sircar
Format: Hardback

List price: £67.00
Our price: £58.63
Discount:
12.5% off
You save: £8.37
ISBN 10: 0521843588
ISBN 13: 9780521843584
Availability: Usually dispatched within 3-5 days.
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Stock: Currently 1item in stock
Publisher: CAMBRIDGE UNIVERSITY PRESS
Pub. date: 29 September, 2011
Pages: 456
Description: The authors consolidate and extend ideas from their previous book. Ideal for practitioners and as a graduate-level textbook.
Synopsis: Building upon the ideas introduced in their previous book, Derivatives in Financial Markets with Stochastic Volatility, the authors study the pricing and hedging of financial derivatives under stochastic volatility in equity, interest-rate, and credit markets. They present and analyze multiscale stochastic volatility models and asymptotic approximations. These can be used in equity markets, for instance, to link the prices of path-dependent exotic instruments to market implied volatilities. The methods are also used for interest rate and credit derivatives. Other applications considered include variance-reduction techniques, portfolio optimization, forward-looking estimation of CAPM 'beta', and the Heston model and generalizations of it. 'Off-the-shelf' formulas and calibration tools are provided to ease the transition for practitioners who adopt this new method. The attention to detail and explicit presentation make this also an excellent text for a graduate course in financial and applied mathematics.
Illustrations: 65 b/w illus.
Publication: UK
Imprint: Cambridge University Press
Returns: Returnable
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