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From the publisher
First line
We are on the verge of a new era of financial computing.
From the jacket flap
Monte Carlo Methods in Finance is an important reference for those working in investment banks, insurance and strategic management consultancy. Of particular importance are the many known variance reduction methods, and they are duly covered, not only in their own right, but also with respect to their potential combinations, and in the direct context of realistic applications. Most notably, the issue of the reliability of low-discrepancy numbers in high dimensions is discussed in detail. The book also contains an introduction to the theory of copule as an extension to the modelling of correlation of financial securities. An entire chapter is dedicated to the evaluation of interest rate derivatives in the Brace-Gatarek-Musiela/Jamshidian framework by the aid of fast-convergence Monte Carlo simulations. What's more, for the first time, this book also gives a description of the construction of non-recombining trees. Whilst non-recombining trees are usually not viable in a production environment, they often are the very tool of last resort when Monte Carlo approximations to problems such as Bermudan swaptions are to be tested, and the tricks for the construction of non-recombining trees presented in this book are invaluable for that purpose.
Details
- Title Monte Carlo Methods in Finance
- Author Peter Jaeckel
- Binding Hardcover
- Edition Har/Com
- Pages 238
- Language ENG
- Publisher Wiley, Somerset, New Jersey, U.S.A.
- Date April 11, 2002
- Features Bibliography, Index
- ISBN 9780471497417
About the author
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Monte Carlo Methods in Finance
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by Peter Jaeckel
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Monte Carlo Methods in Finance
by Jaeckel, Peter
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