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Kamis, 29 September 2016

September 29, 2016 Posted by danitaadenshellwheelock No comments Posted in

PDF Download Interest Rate Derivatives Explained: Volume 1: Products and Markets (Financial Engineering Explained)

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Interest Rate Derivatives Explained: Volume 1: Products and Markets (Financial Engineering Explained)

Interest Rate Derivatives Explained: Volume 1: Products and Markets (Financial Engineering Explained)


Interest Rate Derivatives Explained: Volume 1: Products and Markets (Financial Engineering Explained)


PDF Download Interest Rate Derivatives Explained: Volume 1: Products and Markets (Financial Engineering Explained)

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Interest Rate Derivatives Explained: Volume 1: Products and Markets (Financial Engineering Explained)

Review

'The credit crisis has caused a fundamental shift in how the market prices and risk manages derivatives. Although the literature on this subject is vast, this new book Interest Rate Derivatives Explained is a great starting point for quantitative analysts to gain an intuitive understanding of interest rate derivative pricing, post the financial crisis. Dr Kienitz managed to summarize the pertinent modelling aspects of current interest rate pricing methodologies in a concise easy-to-read book. Detailed practical examples will enable the reader to get up-to-speed with the latest interest rate pricing developments, in a short period of time.' Roelof Sheppard, Head of Trading Model Validation, Standard Bank. 'Jörg Kienitz is an acknowledged expert and well-regarded practitioner in the field of interest rate modelling. This text is a near perfect combination of theory and practice after the financial crisis, and makes an important contribution to the current literature. I strongly recommend it as a companion text for all academics in mathematical finance, and am looking forward to Part 2.' David Taylor, African Institute of Financial Markets and Risk Management, University of Cape Town. 'Interest rate derivative pricing has changed fundamentally over the last couple of years. Derivative payoff formulae used nowadays may seem generally less complex but the actual pricing of even the simplest payoff such as a fixed floating swap has become a potentially complex operation. Jörg's book points out today's key pricing issues in condensed 200 pages: the price impact of uncollateralised counterparty credit risk, the funding value of collateral, but first and foremost getting the basics right: Pricing in a multi-curve setting to account for significant basis effects and establishing the relevant volatility surfaces. The many quality references provided make it easy for you to delve deeper if you wish to do so.' Stephan Bauer, ED, Rates & Hybrid Structuring, London. 'Jörg and I have collaborated on several financial mathematics topics (stochastic vol extrapolation, multicurves in modelling interest rates) over the past few years. Jörg's latest book is a truly unique step forward for any practitioner (both from quant and business' side) for understanding multi curve application in today's market. It is filled with proof and real life example. I implemented a lot of Jörg's solutions and they passed the industry most challenging tests! In this current market it is truly unique.' Damien Jenner, Global Head of Quant IT HSBC, Paris.

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About the Author

Jörg Kienitz is Director, Assurance FSI at Deloitte Germany, where he is responsible for business development, team management, pricing models research and risk management practices of the unit. Previously, he was Head of Quantitative Analytics at Deutsche Postbank AG where he was involved in developing and implementing models for pricing complex derivatives structures and for asset allocation. He also lectures at university level on advanced financial modelling and implementation at the University of Oxford's part-time Masters of Finance course. Jörg works as an independent consultant for model development and validation as well as giving seminars for finance professionals. He is a speaker at a number of major financial conferences including Global Derivatives, WBS Fixed Income and RISK. Jörg is the member of the editorial board of International Review of Applied Financial Issues and Economics and holds a Ph.D. in stochastic analysis from the University of Bielefeld.

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Product details

Series: Financial Engineering Explained

Hardcover: 207 pages

Publisher: Palgrave Macmillan; 2014 edition (December 5, 2014)

Language: English

ISBN-10: 1137360062

ISBN-13: 978-1137360069

Product Dimensions:

6.2 x 0.8 x 9 inches

Shipping Weight: 12.6 ounces (View shipping rates and policies)

Average Customer Review:

5.0 out of 5 stars

1 customer review

Amazon Best Sellers Rank:

#2,126,140 in Books (See Top 100 in Books)

I recently started working my way through the financial engineering explained book series... I have not read them all yet, but this book stands out clearly above the rest from my point of view.As with all of the explained books, it suffers from not delving deep into any topic. This makes it harder to understand points as the book goes along further without utilizing resources outside of the book. This book, unlike the others, has excel workbooks that you can review to further your understanding (which is a real boon to the reader).The author mixes in more practical experience (mostly euro focused) than the other books of series too. I can honestly say, I am looking forward to reading the second part of this book too.P.S. my favorite tidbit from the book was the example of building a discount curve via matrix inversion. It brought a smile to my face how easy it was to recreate via a python console with numpy...

Interest Rate Derivatives Explained: Volume 1: Products and Markets (Financial Engineering Explained) PDF
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Interest Rate Derivatives Explained: Volume 1: Products and Markets (Financial Engineering Explained) PDF

Interest Rate Derivatives Explained: Volume 1: Products and Markets (Financial Engineering Explained) PDF

Interest Rate Derivatives Explained: Volume 1: Products and Markets (Financial Engineering Explained) PDF
Interest Rate Derivatives Explained: Volume 1: Products and Markets (Financial Engineering Explained) PDF

Sabtu, 10 September 2016

September 10, 2016 Posted by danitaadenshellwheelock No comments Posted in

Download Math for Machinists

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Math for Machinists

Math for Machinists


Math for Machinists


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Math for Machinists

Product details

Paperback: 376 pages

Publisher: Goodheart-Willcox; First Edition, Textbook edition (January 16, 2018)

Language: English

ISBN-10: 1635632188

ISBN-13: 978-1635632187

Product Dimensions:

8.5 x 0.8 x 10.9 inches

Shipping Weight: 1.9 pounds (View shipping rates and policies)

Average Customer Review:

5.0 out of 5 stars

1 customer review

Amazon Best Sellers Rank:

#1,050,343 in Books (See Top 100 in Books)

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Senin, 05 September 2016

September 05, 2016 Posted by danitaadenshellwheelock No comments Posted in

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Product details

File Size: 10806 KB

Print Length: 24 pages

Publisher: Cherry Lake Publishing (December 1, 2014)

Publication Date: December 1, 2014

Sold by: Amazon Digital Services LLC

Language: English

ASIN: B00PIXEHCG

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