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About Uncertain Volatility Models - Theory and Application
This is one of the only books to describe uncertain volatility models in mathematical finance and their computer implementation for portfolios of vanilla, barrier and American options in equity and FX markets. Uncertain volatility models place subjective constraints on the volatility of the stochastic process of the underlying asset and evaluate option portfolios under worst- and best-case scenarios. This book, which is bundled with software, is aimed at graduate students, researchers and practitioners who wish to study advanced aspects of volatility risk in portfolios of vanilla and exotic options. The reader is assumed to be familiar with arbitrage pricing theory.
Detailed Information
Author: | Robert Buff |
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Publication Year: | 2002 |
ISBN: | 9783540426578 |
Pages: | 129 |
Language: | English |
File Size: | 48.874 |
Format: | |
Price: | FREE |
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