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Yuan, B: Key to Understanding Financial Market Risk - Baosheng Yuan
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Baosheng Yuan:

Yuan, B: Key to Understanding Financial Market Risk - Livro de bolso

2010, ISBN: 9783838359045

This thesis studies three most important and difficult problems in financial risk: 1). Scaling, clustering and dynamics of volatility of financial asset returns; 2). Statistical and dynam… mais…

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Key to Understanding Financial Market Risk Baosheng Yuan Author
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Key to Understanding Financial Market Risk Baosheng Yuan Author - nuovo livro

ISBN: 9783838359045

This thesis studies three most important and difficult problems in financial risk: 1). Scaling, clustering and dynamics of volatility of financial asset returns; 2). Statistical and d… mais…

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Key to Understanding Financial Market Risk Baosheng Yuan Author
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Key to Understanding Financial Market Risk Baosheng Yuan Author - nuovo livro

ISBN: 9783838359045

This thesis studies three most important and difficult problems in financial risk: 1). Scaling, clustering and dynamics of volatility of financial asset returns; 2). Statistical and d… mais…

new in stock. Custos de envio:zzgl. Versandkosten., mais custos de envio
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Baosheng Yuan:
Key to Understanding Financial Market Risk - primeira edição

2010, ISBN: 9783838359045

Livro de bolso

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Key to Understanding Financial Market Risk Scaling, clustering and dynamics of volatility in finacial time series - Yuan, Baosheng
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Yuan, Baosheng:
Key to Understanding Financial Market Risk Scaling, clustering and dynamics of volatility in finacial time series - nuovo livro

2010, ISBN: 3838359046

Kartoniert / Broschiert, mit Schutzumschlag 11, [PU:LAP LAMBERT Academic Publishing]

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Key to Understanding Financial Market Risk Baosheng Yuan Author

This thesis studies three most important and difficult problems in financial risk: 1). Scaling, clustering and dynamics of volatility of financial asset returns; 2). Statistical and dynamical properties of the market; and 3). Driven force underlying the market volatility. The Value at Risk (VaR) measure currently used in financial industry is far from a reliable tool due to its lack of volatility clustering measure. This thesis presents a solution to this problem. Next, the dynamics of the market is studied from the perspective of interacting and competing agents with self-segregation or herding behaviors. This model shows that investor's winning strategy depends on the market dynamics: active when market is highly volatile and clustered and inactive otherwise. Last, a heterogeneous agent-based model is developed to investigate the impact of investor's sentiments on asset price dynamics. The simulation results show that investor's dynamical risk aversion is the primary driven force that gives rise to the excess and clustered volatility. All these results are the keys to understanding, quantifying and managing financial risk.

Dados detalhados do livro - Key to Understanding Financial Market Risk Baosheng Yuan Author


EAN (ISBN-13): 9783838359045
ISBN (ISBN-10): 3838359046
Livro de capa dura
Livro de bolso
Ano de publicação: 2010
Editor/Editora: LAP Lambert Academic Publishing Core >1
232 Páginas
Peso: 0,362 kg
Língua: eng/Englisch

Livro na base de dados desde 2008-08-21T04:07:30-03:00 (Sao Paulo)
Página de detalhes modificada pela última vez em 2024-01-06T07:09:02-03:00 (Sao Paulo)
Número ISBN/EAN: 9783838359045

Número ISBN - Ortografia alternativa:
3-8383-5904-6, 978-3-8383-5904-5
Ortografia alternativa e termos de pesquisa relacionados:
Autor do livro: yüan, yuan
Título do livro: markets risk, scaling


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