Probabilistic Modeling in Finance and Biology

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In this book, I strove to propose a both precise and handy probabilistic modeling in some areas of finance and biology. Both fields are made of complex random systems, described by huge and noisy data, and call for expertise in probability theory and statistics. My work is a contribution to modeling interactions in such systems, numerical analysis of the models, and statistical analysis of experimental data. In finance, I first focus on analysis of weak error of the density of the Euler scheme for stochastic differential equations, deriving new expansions in Gaussian-like functional spaces. Then I study ergodic properties of stochastic volatility models, with extended numerical experiments. In biology, I work on cellular aging, suggesting a bifurcating autoregressive model to describe growth rates of cells and building statistical procedures to estimate parameters and test biological hypothesis. To this end, I introduce the concept of bifurcating Markov chains and prove that such stochastic processes satisfy original limit theorems. This book should be useful to academic researchers or PhD students in applied mathematics, as well as to practitioners in finance or biology.

Autorentext

Julien Guyon works in the Global Markets Quantitative Researchteam at Société Générale. He holds a PhD in Probability Theoryand Statistics from Ecole des ponts (Paris). He graduated fromEcole polytechnique (Paris) and Ecole des ponts. He is also aProfessor at Ecole des ponts.

Weitere Informationen

  • Allgemeine Informationen
    • GTIN 09783838314464
    • Sprache Englisch
    • Größe H220mm x B150mm x T11mm
    • Jahr 2010
    • EAN 9783838314464
    • Format Kartonierter Einband
    • ISBN 3838314468
    • Veröffentlichung 21.05.2010
    • Titel Probabilistic Modeling in Finance and Biology
    • Autor Julien Guyon
    • Untertitel Limit Theorems and Applications
    • Gewicht 274g
    • Herausgeber LAP LAMBERT Academic Publishing
    • Anzahl Seiten 172
    • Genre Mathematik

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