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Das Lehrbuch stellt die klassischen Teilgebiete der Finanzmathematik systematisch dar. Ein neues Kapitel beschreibt …
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This book presents a factor-based model of the stochastic evolution of the implied volatility surface. The model allows for the integrated and consistent pricing and hedging, risk management, and trading of equity index derivatives as well as volatility derivatives. In the first part, the book...
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