Description
J.Bouchard – Theory of Financial Risks
Summarizing market data developments, some inspired by statistical physics, this book explains how to better predict the actual behavior of financial markets with respect to asset allocation, derivative pricing and hedging, and risk control. Risk control and derivative pricing are major concerns to financial institutions. The need for adequate statistical tools to measure and anticipate amplitude of potential moves of financial markets is clearly expressed, in particular for derivative markets. Classical theories, however, are based on assumptions leading to systematic (sometimes dramatic) underestimation of risks.
Review
“…thought-provoking…The feeling one is left with after putting the book down is one of time well spent.” J.Bouchard – Theory of Financial Risks
Risk
“…the authors offer fresh and valuable insights into financial markets.” –
Mathematical Reviews
“The book is well written and self-contained…recommended to anyone interested in a new and fresh approach to the dynamics of financial markets.” J.Bouchard – Theory of Financial Risks
Journal of Statistical Physics
“The book is interesting not only for physicists working in finance, but also practicioners and scholars with a mathematical or statistical background.” J.Bouchard – Theory of Financial Risks
Journal of the American Statistical Association
Book Description
Risk control and derivative pricing are major concerns to financial institutions. The need for adequate statistical tools to measure and anticipate amplitude of potential moves of financial markets is clearly expressed, in particular for derivative markets. Classical theories, however, are based on assumptions leading to systematic (sometimes dramatic) underestimation of risks. Theory of Financial Risk and Derivative Pricing summarises developments, some inspired by statistical physics, using which one can take into account more faithfully the real behaviour of financial markets for asset allocation, derivative pricing and hedging, and risk control.
J.Bouchard, Theory of Financial Risks, Download Theory of Financial Risks, Free Theory of Financial Risks, Theory of Financial Risks Torrent, Theory of Financial Risks Review, Theory of Financial Risks Groupbuy.


Tensile Trading - The 10 Essential Stages of Stock Market Mastery
Michael Harris - Profitability and Systematic Trading
Leveraged Exchange-traded Funds - Price Dynamics And Options Valuation
Vanessa Van Edwards – The Power of Body Language
Barrie Murray - Electricity Markets
Udemy - The Modern React Bootcamp (Hooks, Context, NextJS, Router)
Robert Miner - Dynamic Trading
William R. Gallacher - The options edge
Chris Satchwell - Pattern Recognition and Trading Decisions
Robert J.Aumann – Handbook of Game Theory with Economic Applications (Vol. II & III)
Esme Faerber - All About Stocks
FOLLOWMETRADES – MASTER TRADER COURSE
AI For Traders - Tradingmarkets
Brian Kettell – Valuation of Internet & Technology Stocks
TRIFORCE TRAINING Part 2
Reviews
There are no reviews yet.