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Practical Quantitative Investment Management with Derivatives (1st ed. 2002)

Part of the Finance and Capital Markets Series series
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The book is divided into three sections plus detailed appendices and glossary and accompanying CD-ROM.

The first section provides a description of the investment management process providing a context for quantitative techniques.

Section 2 addresses different quantitative techniques as applied to investment management.

Each chapter explains the techniques, the theoretical basis, the use of derivatives and other technology, implementation and management and the role of the custodian.

Section 3 brings together issues such as currency management, performance measurement and appraisal and performance analysis.

The accompanying CD-ROM contains spreadsheets in EXCEL giving examples used in the body of the text.

Each example is cross-referenced for easy access.

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Product Details
Palgrave Macmillan
1349425281 / 9781349425280
Paperback / softback
332.645
01/01/2002
United Kingdom
502 pages, XXVI, 502 p.
152 x 229 mm