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"What initially looked like an impossible undertaking has become a formidable achievement, stretching from the theoretical foundations to the most recent cutting edge methods. Mille bravos!"—**Dr Bruno Dupire (Bloomberg L.P.)**The __Encyclopedia of Quantitative Finance__ is a major reference work designed to provide a comprehensive coverage of essential topics related to the quantitative modelling of financial markets, with authoritative contributions from leading academics and professionals. Drawing on contributions from a wide spectrum of experts in fields including financial economics, econometrics, mathematical finance, operations research, numerical analysis, risk management and statistics, the __Encyclopedia of Quantitative Finance__ faithful reflects the multidisciplinary nature of its subject.With a pool of author comprising over 400 leading academics and professionals worldwide, the Encyclopedia provides a balanced view of theoretical and practical aspects of quantitative modelling in finance. Topics covered in the Encyclopedia include * the historical development of quantitative modelling in finance, including biographies of influential figures * self-contained exposition
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It is typically read by self-directed learners exploring a subject in depth.
Common subject areas: history, science, philosophy, social sciences.
- Author
- editor-in-chief, Rama Cont,Wiley
- Publisher
- Wiley : John Wiley [distributor
- Published
- 2010
- Language
- EN
- ISBN
- 9780470061602
- Category
- nonfiction
- Subjects
- Economics, Finance, Business
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