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Stable Paretian Models in Finance.

Stable Paretian Models in Finance. 金融の安定的パレート派モデル

・ISBN 978-0-471-95314-2 cloth

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著者・編者Rachev, Svetlozar / Mittnik, S.,
シリーズFinancial Economics and Quantitative Analysis
出版社(Wiley, US)
出版年月2000
ページ数855 pp.
言語ENG
ニュース番号<456-266>

解説

The authors reconsider the problem of parametrically specifying distribution suitable for asset-return models. They describe alternative distributions, showing how they can be estimated and applied to stock-index and exchange-rate data. The implications for options pricing are also investigated.