Financial Engineering.
概要
作品: | 119 作品在 37 項出版品 37 種語言 |
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書目資訊
Systems research I = essays in honor of Yasuhiko Takahara on systems theory and modeling /
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Valuation and sustainability = a guide to include environmental, social, and governance data in business valuation /
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Systems Research II = Essays in Honor of Yasuhiko Takahara on Systems Management Theory and Practice /
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Mergers & Acquisitions = Understanding M&A Processes for Large- and Medium-Sized Companies /
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Systems Research I = Essays in Honor of Yasuhiko Takahara on Systems Theory and Modeling /
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Disruptive Technology in Banking and Finance = An International Perspective on FinTech /
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The Digital Journey of Banking and Insurance, Volume II = Digitalization and Machine Learning /
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The Digital Journey of Banking and Insurance, Volume III = Data Storage, Data Processing and Data Analysis /
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Financial Ecosystem and Strategy in the Digital Era = Global Approaches and New Opportunities /
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Financial Markets Evolution = From the Classical Model to the Ecosystem. Challengers, Risks and New Features /
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Data Science and Multiple Criteria Decision Making Approaches in Finance = Applications and Methods /
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Implementing Machine Learning for Finance = A Systematic Approach to Predictive Risk and Performance Analysis for Investment Portfolios /
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Finance 4.0 - Towards a Socio-Ecological Finance System = A Participatory Framework to Promote Sustainability /
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Digitalization, Digital Transformation and Sustainability in the Global Economy = Risks and Opportunities /
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Understanding Cybersecurity Management in FinTech = Challenges, Strategies, and Trends /
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Financing Our Future = Unveiling a Parallel Digital Currency System to Fund the SDGs and the Common Good /
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Trading Tactics in the Financial Market = Mathematical Methods to Improve Performance /
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Banking & Innovation 2020/2021 = Ideen und Erfolgskonzepte von Experten für die Praxis /
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Engines of Economic Prosperity = Creating Innovation and Economic Opportunities through Entrepreneurship /
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Banking 5.0 = How Fintech Will Change Traditional Banks in the 'New Normal' Post Pandemic /
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Decision Making with Quantitative Financial Market Data = Applications, Precautions and Pitfalls /
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Stock Exchange Trading Using Grid Pattern Optimized by A Genetic Algorithm with Speciation = The Case of S&P 500 /
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Future-proofing—Valuing Adaptability, Flexibility, Convertibility and Options = A Cross-Disciplinary Approach /
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Mathematical Research for Blockchain Economy = 1st International Conference MARBLE 2019, Santorini, Greece /
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Countering Cyber Threats to Financial Institutions = A Private and Public Partnership Approach to Critical Infrastructure Protection /
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Innovations in derivatives markets = fixed income modeling, valuation adjustments, risk management, and regulation /
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Financial modelling with forward-looking information = an intuitive approach to asset pricing /
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Interest rate derivatives explained.. Volume 2,. Structure and volatility modelling
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Market timing with moving averages = the anatomy and performance of trading rules /
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Analytical finance.. Volume II,. The mathematics of interest rate derivatives, markets, risk and valuation
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The mathematics of options = quantifying derivative price, payoff, probability, and risk /
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Numerical partial differential equations in finance explained = an introduction to computational finance /
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Identifying stock market bubbles = modeling illiquidity premium and bid-ask prices of financial securities /
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Economic foundations for social complexity science = theory, sentiments, and empirical laws /
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Credit-risk modelling = theoretical foundations, diagnostic tools, practical examples, and numerical recipes in Python /
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Analytical finance = the mathematics of equity derivatives, markets, risk and valuation /. Volume I
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Quantitative Trading with R = Understanding Mathematical and Computational Tools from a Quant’s Perspective /
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XVA Desks - A New Era for Risk Management = Understanding, Building and Managing Counterparty, Funding and Capital Risk /
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A Global Monetary Plague = Asset Price Inflation and Federal Reserve Quantitative Easing /
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Analyzing Event Statistics in Corporate Finance = Methodologies, Evidences, and Critiques /
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Global Stock Market Integration = Co-Movement, Crises, and Efficiency in Developed and Emerging Markets /
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Innovations in Derivatives Markets = Fixed Income Modeling, Valuation Adjustments, Risk Management, and Regulation /
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Pricing and Liquidity of Complex and Structured Derivatives = Deviation of a Risk Benchmark Based on Credit and Option Market Data /
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Credit-Risk Modelling = Theoretical Foundations, Diagnostic Tools, Practical Examples, and Numerical Recipes in Python /
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Supply Chain Finance and Blockchain Technology = The Case of Reverse Securitisation /
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FinTech and Data Privacy in Germany = An Empirical Analysis with Policy Recommendations /
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