THE BEST OF WILMOTT 1 Wilmott论文精选 1:定量金融评论2003年研究 mobi 百度云 txt pdb 下载 lrf pdf 地址

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内容简介:
November 11th 2003 saw a landmark event take place in London. As the first conference designed for quants by quants the Quantitative Finance Review 2003, moved away from the anonymous bazaars that have become the norm, and instead delivered valuable information to market practitioners with the greatest interest. The roster of speakers was phenomenal, ranging from founding fathers to bright young things, discussing the latest developments, with a specific emphasis on the burgeoning field of credit derivatives. You really had to be there. Until now, at least.
The Best of Wilmott 1: Including the latest research from Quantitative Finance Review 2003 contains these first-class articles, originally presented at the QFR 2003, along with a collection of selected technical papers from Wilmott magazine. In publishing this book we hope to share some of the great insights that, until now, only delegates at QFR 2003 were privy to, and give you some idea why Wilmott magazine is the most talked about periodical in the market.
Including articles from luminaries such as Ed Thorp, Jean-Philippe Bouchaud, Philipp Schoenbucher, Pat Hagan, Ephraim Clark, Marc Potters, Peter Jaeckel and Paul Wilmott, this collection is a must for anyone working in the field of quantitative finance. The articles cover a wide range of topics:
* Psychology in Financial Markets
* Measuring Country Risk as Implied Volatility
* The Equity-to-Credit Problem
* Introducing Variety in Risk Management
* The Art and Science of Curve Building
* Next Generation Models for Convertible Bonds with Credit Risk
* Stochastic Volatility and Mean-variance Analysis
* Cliquet Options and Volatility Models
作者简介:Dr Paul Wilmott has been described by the Financial Times as the cult derivatives lecturer.
He has for many years been a financial consultant specializing in derivatives, risk management and quantitative finance. He is the author of the best-selling Paul Wilmott Introduces Quantitative Finance (Wiley 2000) and Paul Wilmott on Quantitative Finance (Wiley 2001). He has written over 100 research articles on finance and mathematics.
Dr Wilmott runs www.wilmott.com, the popular quantitative finance community
website, the quant magazine Wilmott, and is the Course Director for the Certificate in Quantitative Finance, www.7city.com/cqf.
Paul Wilmott is a partner in a statistical arbitrage hedge fund.
书籍目录:
Introduction
Ⅰ. Education in Quantitative Finance
Ⅱ. FinancialCAD
Ⅲ. Quantitative Finance Review 2003
Chapter 1: Rewind
Chapter 2: In for the Count
Chapter 3: A Perspective on Quantitative Finance: Models for Beating the Market
Chapter 4: Psychology in Financial Markets
Chapter 5: Credit Risk Appraisal: From the Firm Structural Approach to Modern Probabilistic ethodologies
Chapter 6: Modelling and Measuring Sovereign Creit Risk
Chapter 7: The Equity-to-credit Problem
Chapter 8: Measuring Country Risk as Implied Volatility
Chapter 9: Next Generation Models for Convertible Bonds with Credit Risk
Chapter 10: First to Default Swaps
Chapter 11: Taken to the Limit: Simple and Not-so-simple Loan Loss Distributions
Chapter 12: Sovereign Debt Default Risk: Quantifying the (Un)Willingness to Pay
Chapter 14: Introducing Variety in Risk Management
Chapter 15: Alternative Large Risks Hedging Strategies for Options
Chapter 16: On Exercising American Options: The Risk of Making More Money than You Expected
Chapter 17: Phi-alpha Optimal Portfolios and Extreme Risk Management
Chapter 18: Managing Smile Risk
Chapter 19: Adjusters: Turning Good Prices into Great Prices
Chapter 20: Convexity Conundrums: Pricing CMS Swaps, Caps, and Floors
Chapter 21: Mind the Cap
Chapter 22: The Art and Science of Curve Building
Chapter 23: Stochastic Volatility Models: Past, Present and Future
Chapter 24: Cliquet Options and Volatility Models
Chapter 25: Long Memory and Regime Shifts in Asset Volatility
Chapter 26: Heston’s Stochastic Volatility Model: Implementation, Calibration and Some Extensions
Chapter 27: Forward-start Options in Stochastic Volatility Models
Chapter 28: Stochastic Volatility and Mean-variance Analysis
Index.
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November 11th 2003 saw a landmark event take place in London. As the first conference designed for quants by quants the Quantitative Finance Review 2003, moved away from the anonymous bazaars that have become the norm, and instead delivered valuable information to market practitioners with the greatest interest. The roster of speakers was phenomenal, ranging from founding fathers to bright young things, discussing the latest developments, with a specific emphasis on the burgeoning field of credit derivatives. You really had to be there. Until now, at least.
The Best of Wilmott 1: Including the latest research from Quantitative Finance Review 2003 contains these first–class articles, originally presented at the QFR 2003, along with a collection of selected technical papers from Wilmott magazine. In publishing this book we hope to share some of the great insights that, until now, only delegates at QFR 2003 were privy to, and give you some idea why Wilmott magazine is the most talked about periodical in the market.
Including articles from luminaries such as Ed Thorp, Jean–Philippe Bouchaud, Philipp Schoenbucher, Pat Hagan, Ephraim Clark, Marc Potters, Peter Jaeckel and Paul Wilmott, this collection is a must for anyone working in the field of quantitative finance. The articles cover a wide range of topics:
∗ Psychology in Financial Markets
∗ Measuring Country Risk as Implied Volatility
∗ The Equity–to–Credit Problem
∗ Introducing Variety in Risk Management
∗ The Art and Science of Curve Building
∗ Next Generation Models for Convertible Bonds with Credit Risk
∗ Stochastic Volatility and Mean–variance Analysis
∗ Cliquet Options and Volatility Models
And as they say at the end of (most) Bond movies The Best of Wilmott... will return on an annual basis.
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