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Fourier-Malliavin Volatility Estimation: Theory and Practice. 1st ed. 2017

Fourier-Malliavin Volatility Estimation: Theory and Practice. 1st ed. 2017

・ISBN 978-3-319-50967-9 paper EUR 59.99

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お気に入り
著者・編者Mancino, Maria Elvira / Recchioni, Maria Cristina / Sanfelici, Simona,
シリーズ (SpringerBriefs in Quantitative Finance)
出版社 (Springer International Publishing AG, SZ)
出版年月2017
ページ数138 pp.
言語ENG
ニュース番号<A05-20742>

解説

This volume is a user-friendly presentation of the main theoretical properties of the Fourier-Malliavin volatility estimation, allowing the readers to experience the potential of the approach and its application in various financial settings. Readers are given examples and instruments to implement this methodology in various financial settings and applications of real-life data. A detailed bibliographic reference is included to permit an in-depth study.