Fat-Tailed Skewed Asset Return : Implications for Risk Management, Portfolio Selection, and Option Pricing
Book Details
Format
Hardback or Cased Book
Book Series
Frank J. Fabozzi Series
ISBN-10
0471718866
ISBN-13
9780471718864
Publisher
John Wiley & Sons Inc
Imprint
John Wiley & Sons Inc
Country of Manufacture
SG
Country of Publication
GB
Publication Date
Aug 26th, 2005
Print length
384 Pages
Weight
680 grams
Dimensions
16.70 x 24.10 x 2.90 cms
Product Classification:
Investment & securitiesInvestment and securities
Ksh 14,400.00
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A bridge between the highly technical theory of the statistical distribution of asset returns and real-world applications for portfolio and risk management While mainstream theories and concepts assume that asset returns are normally distributed, empirical evidence shows otherwise.
While mainstream financial theories and applications assume that asset returns are normally distributed, overwhelming empirical evidence shows otherwise. Yet many professionals don’t appreciate the highly statistical models that take this empirical evidence into consideration. Fat-Tailed and Skewed Asset Return Distributions examines this dilemma and offers readers a less technical look at how portfolio selection, risk management, and option pricing modeling should and can be undertaken when the assumption of a non-normal distribution for asset returns is violated. Topics covered in this comprehensive book include an extensive discussion of probability distributions, estimating probability distributions, portfolio selection, alternative risk measures, and much more. Fat-Tailed and Skewed Asset Return Distributions provides a bridge between the highly technical theory of statistical distributional analysis, stochastic processes, and econometrics of financial returns and real-world risk management and investments.
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