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Applied Quantitative Finance

Price range: ₹5,244.00 through ₹7,329.00
This volume provides practical solutions and introduces recent theoretical developments in risk management, pricing of credit derivatives, quantification of volatility and copula modeling. This third edition is devoted to modern risk analysis based on quantitative methods and textual analytics to meet the current challenges in banking and finance.
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Applied Quantitative Finance

Price range: ₹5,244.00 through ₹7,329.00
This volume provides practical solutions and introduces recent theoretical developments in risk management, pricing of credit derivatives, quantification of volatility and copula modeling. This third edition is devoted to modern risk analysis based on quantitative methods and textual analytics to meet the current challenges in banking and finance.
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Asymptotic Statistics in Insurance Risk Theory

Original price was: ₹6,033.00.Current price is: ₹4,827.00.
This book begins with the fundamental large sample theory, estimating ruin probability, and ends by dealing with the latest issues of estimating the Gerber–Shiu function. This book is the first to introduce the recent development of statistical methodologies in risk theory (ruin theory) as well as their mathematical validities.
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Asymptotic Statistics in Insurance Risk Theory

Original price was: ₹6,033.00.Current price is: ₹4,827.00.
This book begins with the fundamental large sample theory, estimating ruin probability, and ends by dealing with the latest issues of estimating the Gerber–Shiu function. This book is the first to introduce the recent development of statistical methodologies in risk theory (ruin theory) as well as their mathematical validities.
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Financial Risk Management for Cryptocurrencies

Original price was: ₹6,554.00.Current price is: ₹5,244.00.
This book explores the emerging field of risk management and risk analysis of cryptocurrencies, an area that has been generating considerable research. It begins by providing an introduction to digital finance and the concept of cryptocurrencies and blockchain technologies.
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Financial Risk Management for Cryptocurrencies

Original price was: ₹6,554.00.Current price is: ₹5,244.00.
This book explores the emerging field of risk management and risk analysis of cryptocurrencies, an area that has been generating considerable research. It begins by providing an introduction to digital finance and the concept of cryptocurrencies and blockchain technologies.
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Mathematical Finance

Price range: ₹7,329.00 through ₹10,248.00
Provides a gentle introduction to the calculus and control for stochastic processes with jumps Covers Lévy and affine processes as well as their applications in financial modelling Compares and explains the rationale behind different valuation and hedging concepts
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Mathematical Finance

Price range: ₹7,329.00 through ₹10,248.00
Provides a gentle introduction to the calculus and control for stochastic processes with jumps Covers Lévy and affine processes as well as their applications in financial modelling Compares and explains the rationale behind different valuation and hedging concepts
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Mathematical Portfolio Theory and Analysis

Original price was: ₹6,033.00.Current price is: ₹4,827.00.
Designed as a self-contained text, this book covers a wide spectrum of topics on portfolio theory. It covers both the classical-mean-variance portfolio theory as well as non-mean-variance portfolio theory.
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Mathematical Portfolio Theory and Analysis

Original price was: ₹6,033.00.Current price is: ₹4,827.00.
Designed as a self-contained text, this book covers a wide spectrum of topics on portfolio theory. It covers both the classical-mean-variance portfolio theory as well as non-mean-variance portfolio theory.
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Risk and Insurance

Price range: ₹4,410.00 through ₹5,661.00
This textbook provides a broad overview of the present state of insurance mathematics and some related topics in risk management, financial mathematics and probability. Both non-life and life aspects are covered.
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Risk and Insurance

Price range: ₹4,410.00 through ₹5,661.00
This textbook provides a broad overview of the present state of insurance mathematics and some related topics in risk management, financial mathematics and probability. Both non-life and life aspects are covered.
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Risk Management for Pension Funds: A Continuous Time Approach with Applications in R

Price range: ₹4,410.00 through ₹6,078.00
Provides a complete and consistent presentation of financial and actuarial risk All theoretical models are coupled with numerical methods (R codes provided) Introduces the "Martingale Method" to solve the dynamic optimization problem
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Risk Management for Pension Funds: A Continuous Time Approach with Applications in R

Price range: ₹4,410.00 through ₹6,078.00
Provides a complete and consistent presentation of financial and actuarial risk All theoretical models are coupled with numerical methods (R codes provided) Introduces the "Martingale Method" to solve the dynamic optimization problem
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The Risk Management of Contingent Convertible (CoCo) Bonds

Original price was: ₹6,033.00.Current price is: ₹4,827.00.
Provides a primer on CoCo Bonds Gives an overview of pricing models for these hybrid instruments Describes how to risk-manage contingent convertibles using sophisticated cutting edge techniques
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The Risk Management of Contingent Convertible (CoCo) Bonds

Original price was: ₹6,033.00.Current price is: ₹4,827.00.
Provides a primer on CoCo Bonds Gives an overview of pricing models for these hybrid instruments Describes how to risk-manage contingent convertibles using sophisticated cutting edge techniques
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Threatcasting

Original price was: ₹6,554.00.Current price is: ₹5,244.00.
Impending technological advances will widen an adversaryÂ’s attack plane over the next decade. Visualizing what the future will hold, and what new threat vectors could emerge, is a task that traditional planning mechanisms struggle to accomplish given the wide range of potential issues.
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Threatcasting

Original price was: ₹6,554.00.Current price is: ₹5,244.00.
Impending technological advances will widen an adversaryÂ’s attack plane over the next decade. Visualizing what the future will hold, and what new threat vectors could emerge, is a task that traditional planning mechanisms struggle to accomplish given the wide range of potential issues.
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