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How to Understand and Use Mathematics for Derivatives: Vol. 2
Euromoney Institutional Investor, Pages: 347
These two companion volumes offer a comprehensive guide to the ‘new maths’, analysing and explaining the behaviour of the markets and providing a practical guide to the key mathematical models underlying trading and risk management.
Volume II - Advanced Modelling Methods - offers a comprehensive explanation of new terms and techniques used in financial analysis. Ten chapters evaluate the latest developments in the field, formulae calculation and analysis of the different ways in which data can be interpreted and profited from including: computational finance; trading techniques; financial engineering; non-linear maths; mathematical analysis and risk management; statistical inference, skewness and kyrosis; high frequency data and why banks use it; fractals and chaos theory in financial markets.
Author information
Professor Dr. Dimitris N. Chorafas has, since 1961, advised financial institutions and industrial corporations on strategic planning, risk management, computer and communications systems, and internal controls. A graduate of the University of California, Los Angeles, the University of Paris, and the Technical University of Athens, Dr Chorafas has been a fulbright scholar.
Among the multinational corporations for which Dr Chorafas has worked as consultant to top management are General Electric, Bull, Univac, Honeywell, Digital Equipment Corp, Olivetti, Nestle, Omega, Italcementi, AEG-Telefunken, Olympia, Osram, Antar, Pechiney, the American Management Association and a range of other firms in Europe and the United States.
Dr Chorafas has served on the faculty of the Catholic University of America and as visiting professor at five other American universities, one Canadian, one Swiss and one German university. More that 6,000 banking, industry and government executives have participated in his seminars in the United States, England, Germany, other European countries, Asia and Latin America.
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