LEADER 00000cam a2200661Ia 4500 001 814380385 003 OCoLC 005 20240129213017.0 006 m o d 007 cr cnu---unuuu 008 121025s2013 enk ob 001 0 eng d 019 850605851 020 9780124158887|q(electronic bk.) 020 0124158889|q(electronic bk.) 029 1 CHBIS|b009942977 029 1 CHVBK|b302245359 029 1 DEBBG|bBV041053724 029 1 DEBBG|bBV042297713 029 1 DEBBG|bBV042739418 029 1 DEBSZ|b380433001 029 1 NZ1|b14672606 029 1 NZ1|b15177280 029 1 CHVBK|b519263685 029 1 CHNEW|b001010759 035 (OCoLC)814380385|z(OCoLC)850605851 037 CL0500000226|bSafari Books Online 037 9C5AE4F1-5E88-4CB7-A1AF-BFC079A5872D|bOverDrive, Inc. |nhttp://www.overdrive.com 040 OPELS|beng|epn|cOPELS|dN$T|dYDXCP|dIDEBK|dUMI|dTEFOD|dUIU |dOCLCO|dTEFOD|dOCLCQ|dOCLCO|dOCLCQ|dOCLCF|dU3W|dWYU|dTKN |dLEAUB|dAU@|dOCLCO|dOCLCQ|dOCLCO|dOCLCL 049 INap 082 04 332.63/221 082 04 332.63/221|223 099 eBook O’Reilly for Public Libraries 245 00 Rethinking valuation and pricing models :|blessons learned from the crisis and future challenges /|cedited by Carsten S. Wehn, Christian Hoppe, Greg N. Gregoriou.|h[O'Reilly electronic resource] 260 Oxford ;|aWaltham, MA :|bAcademic Press,|c©2013. 300 1 online resource 336 text|btxt|2rdacontent 337 computer|bc|2rdamedia 338 online resource|bcr|2rdacarrier 500 Includes index. 500 Title from publisher's Web site; (ScienceDirect; viewed on Oct. 25, 2012). 504 Includes bibliographical references and index. 520 It is widely acknowledged that many financial modelling techniques failed during the financial crisis, and in our post-crisis environment many techniques are being reconsidered. This single volume provides a guide to lessons learned for practitioners and a reference for academics. Including reviews of traditional approaches, real examples, and case studies, contributors consider portfolio theory; methods for valuing equities and equity derivatives, interest rate derivatives, and hybrid products; and techniques for calculating risks and implementing investment strategies. Describing new approaches without losing sight of their classical antecedents, this collection of original articles presents a timely perspective on our post-crisis paradigm. Highlights pre-crisis best classical practices, identifies post-crisis key issues, and examines emerging approaches to solving those issuesSingles out key factors one must consider when valuing or calculating risks in the post- crisis environmentPresents material in a homogenous, practical, clear, and not overly technical manner. 588 0 Print version record. 590 O'Reilly|bO'Reilly Online Learning: Academic/Public Library Edition 650 0 Valuation|xEconometric models. 650 0 Prices|xEconometric models. 650 6 Évaluation|xModèles économétriques. 650 6 Prix|xModèles économétriques. 650 7 Prices|xEconometric models|2fast 700 1 Wehn, Carsten S. 700 1 Hoppe, Christian. 700 1 Gregoriou, Greg N.,|d1956-|1https://id.oclc.org/worldcat/ entity/E39PBJktpMqXGVwxpxgTgHqmh3 856 40 |uhttps://ezproxy.naperville-lib.org/login?url=https:// learning.oreilly.com/library/view/~/9780124158757/?ar |zAvilable on O'Reilly for Public Libraries 938 EBSCOhost|bEBSC|n485044 938 ProQuest MyiLibrary Digital eBook Collection|bIDEB |ncis24081991 938 YBP Library Services|bYANK|n9890115 994 92|bJFN