Option Hedging

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Details

Financial modeling is a rich research field that generated a large amount of approaches and techniques for dealing with financial phenomena. When it comes to practice, besides the implementation issues, the selection of a suitable path is also a difficult task. This book is an essay on modeling and testing option hedging strategies. It analyzes and compares three hedging strategies for European options, based on the Black-Scholes-Merton model, a dynamic programming solution for dynamic multiperiod hedging and a GARCH model. The strategies are compared under their theoretical premises and through comparative performance tests built over simulated data using a proposed simulation method for data generation. An analysis is also presented regarding estimation and its implications over the performance of the strategies. The essay should help those interested in understanding the grounds of different option hedging strategies and should also be inspiring for anyone who is about to make a decision for an implementation method of any financial phenomena.

Autorentext

Electrical Engineer and Master of Science in Administration. Has been working with technology, economic feasibility analysis, management and teaching.

Weitere Informationen

  • Allgemeine Informationen
    • GTIN 09783639247169
    • Sprache Englisch
    • Größe H220mm x B15mm x T150mm
    • Jahr 2010
    • EAN 9783639247169
    • Format Kartonierter Einband (Kt)
    • ISBN 978-3-639-24716-9
    • Titel Option Hedging
    • Autor Iuri Lazier
    • Untertitel Modeling and Testing
    • Gewicht 347g
    • Herausgeber VDM Verlag
    • Anzahl Seiten 248
    • Genre Wirtschaft

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